UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 3/31/2010

Check here is Amendment [ ]; Amendment Number:
                                               ----------
     This Amendment (Check only one.): [ ] is a restatement.
                                       [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    M&T BANK CORPORATION
Address: One M&T Plaza
         Buffalo, NY 14240

Form 13-F File Number: 028-00267

This institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral part of this form.

Person Signing this Report on Behalf of Reporting Manager

Name: Mark Czarnecki
Title: President
Phone: (716) 842-5291

Signature, Place & Date of Signing:


/s/ Mark Czarnecki, President        Buffalo, New York   4/26/2010
----------------------------------   -----------------   ---------
          [Signature]                  [City, State]       [Date]

Report Type (Check only one.):

[X]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting managers
     are reported in this report).

[_]  13F NOTICE. (Check here if no holdings reported are in this report, and all
     holdings are reported by other reporting manager(s).)

[_]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting managers are reported in this report and a portion are reported
     by other reporting managers(s).)




                             FORM 13-F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                  4
Form 13-F Information Table Entry Total:        2,784
Form 13-F Information Table Value Total:    3,045,678
                                          (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

No.   Form 13F File Number   Name
---   --------------------   -------------------------------------
 1          028-39800        Manufacturers & Traders Trust Company
 2          028-10910        Zirkin-Cutler Investments, Inc.
 3          028-10909        MTB Investment Advisors, Inc.
 4          028-11878        M&T Trust Company of Delaware, Inc.






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ABB LTD SPON ADR     COMMON          000375204        3       124 Shares                 X               1        124      0       0
ABB LTD SPON ADR     COMMON          000375204       20       902 Shares                         X       1        902      0       0
ACCO BRANDS CORP     COMMON          00081T108        3       404 Shares                 X               1        404      0       0
AFLAC INC            COMMON          001055102      948     17468 Shares                 X               1      17468      0       0
AFLAC INC            COMMON          001055102      836     15403 Shares                         X       1      15003      0     400
AFLAC INC            COMMON          001055102     3304     60850 Shares                 X               2      25450      0   35400
AFLAC INC            COMMON          001055102        8       150 Shares                 X               3        150      0       0
AGL RESOURCES INC    COMMON          001204106      137      3545 Shares                 X               1       2045      0    1500
AGL RESOURCES INC    COMMON          001204106      118      3062 Shares                         X       1       3032      0      30
AES CORP COM         COMMON          00130H105      739     67159 Shares                 X               1      66359      0     800
AES CORP COM         COMMON          00130H105       71      6450 Shares                         X       1       3650      0    2800
AES CORP COM         COMMON          00130H105     6352    577507 Shares                 X               2     237672      0  339835
AES CORP COM         COMMON          00130H105       18      1600 Shares                 X               3       1600      0       0
AK STEEL HOLDING
CORP COM             COMMON          001547108        2        66 Shares                 X               1         66      0       0
AMN HEALTHCARE
SERVICES INCORP      COMMON          001744101        4       457 Shares                 X               1        457      0       0
AOL INC              COMMON          00184X105       14       556 Shares                 X               1        556      0       0
AOL INC              COMMON          00184X105        5       194 Shares                         X       1        194      0       0
AOL INC              COMMON          00184X105      762     30143 Shares                 X               2      29875      0     268
AT&T INC             COMMON          00206R102    16977    656990 Shares                 X               1     648393      0    8597
AT&T INC             COMMON          00206R102    10398    402411 Shares                         X       1     356115      0   46296
AT&T INC             COMMON          00206R102    11551    447022 Shares                 X               2     106869      0  340153
AT&T INC             COMMON          00206R102      570     22063 Shares                 X               3      17108      0    4955
AT&T INC             COMMON          00206R102        7       265 Shares                 X               4        265      0       0
AVI BIOPHARMA INC    COMMON          002346104       11      9000 Shares                 X               1       9000      0       0
AARON'S INC          COMMON          002535201       37      1100 Shares                 X               1       1100      0       0
AARON'S INC          COMMON          002535201     1000     30000 Shares                 X               3      30000      0       0
ABBOTT
LABORATORIES         COMMON          002824100    11426    216894 Shares                 X               1     214144      0    2750
ABBOTT
LABORATORIES         COMMON          002824100     4728     89740 Shares                         X       1      88320      0    1420
ABBOTT
LABORATORIES         COMMON          002824100      856     16250 Shares                 X               2       8450      0    7800
ABBOTT
LABORATORIES         COMMON          002824100     2178     41330 Shares                 X               3      38427      0    2903
ABBOTT
LABORATORIES         COMMON          002824100        7       125 Shares                 X               4        125      0       0
ABERCROMBIE &
FITCH CO CL A        COMMON          002896207      826     18099 Shares                 X               1      17199      0     900
ABERCROMBIE &
FITCH CO CL A        COMMON          002896207        8       175 Shares                         X       1        175      0       0
ABERCROMBIE &
FITCH CO CL A        COMMON          002896207       91      1985 Shares                 X               3       1779      0     206
ABERDEEN
AUSTRALIA EQUITY
FUND                 PREFERRED STOCK 003011103       12      1000 Shares                         X       1          0      0       0
ACTIVISION
BLIZZARD INC         COMMON          00507V109     1582    131313 Shares                 X               1     131153      0     160
ACTIVISION
BLIZZARD INC         COMMON          00507V109      217     18015 Shares                         X       1      18015      0       0
ACUITY BRANDS
HOLDING COMPANY      COMMON          00508Y102     1815     43000 Shares                 X               2          0      0   43000
ADOBE SYS INC COM    COMMON          00724F101       90      2537 Shares                 X               1       2537      0       0
ADOBE SYS INC COM    COMMON          00724F101       39      1115 Shares                         X       1       1115      0       0
ADOBE SYS INC COM    COMMON          00724F101      887     25065 Shares                 X               2      18800      0    6265
ADTRAN INC           COMMON          00738A106      191      7252 Shares                 X               1       7252      0       0
ADTRAN INC           COMMON          00738A106     2030     77025 Shares                 X               3      77025      0       0
ADVANCE AUTO
PARTS                COMMON          00751Y106       47      1115 Shares                 X               1       1115      0       0
AECOM TECHNOLOGY
CORP                 COMMON          00766T100     1704     60050 Shares                 X               2      27250      0   32800


                                     1 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ADV MICRO DEVICES    COMMON          007903107     2560    276200 Shares                 X               1     276200      0       0
ADV MICRO DEVICES    COMMON          007903107        5       500 Shares                         X       1        500      0       0
ADV MICRO DEVICES    COMMON          007903107     5533    596887 Shares                 X               3     596887      0       0
AEGON NV ORD
AMER REG SHS         COMMON          007924103       30      4364 Shares                 X               1       4364      0       0
AES TRUST III
PFD CONV 6.75% 1     PREFERRED       00808N202       18       400 Shares                 X               1          0      0       0
AES TRUST III
PFD CONV 6.75% 1     PREFERRED       00808N202       15       325 Shares                         X       1          0      0       0
AES TRUST III
PFD CONV 6.75% 1     PREFERRED       00808N202     4838    106970 Shares                 X               2      29070      0       0
AETNA INC NEW COM    COMMON          00817Y108      525     14940 Shares                 X               1      14940      0       0
AFFILIATED
MANAGE GR            COMMON          008252108       49       625 Shares                 X               1        625      0       0
AFFILIATED
MANAGE GR            COMMON          008252108       11       145 Shares                         X       1        145      0       0
AFFILIATED
MANAGE GR            COMMON          008252108     1392     17625 Shares                 X               3      17625      0       0
AGILENT
TECHNOLOGIES INC
COM                  COMMON          00846U101       65      1891 Shares                         X       1       1281      0     610
AGILENT
TECHNOLOGIES INC
COM                  COMMON          00846U101       79      2288 Shares                 X               2          0      0    2288
AGILENT
TECHNOLOGIES INC
COM                  COMMON          00846U101        1        30 Shares                 X               3         30      0       0
AGNICO EAGLE
MINES LTD            COMMON          008474108        3        50 Shares                 X               1         50      0       0
AGRIUM INC           COMMON          008916108       60       850 Shares                 X               1        850      0       0
AIR PRODUCTS &
CHEMICALS INC        COMMON          009158106     1414     19127 Shares                 X               1      19127      0       0
AIR PRODUCTS &
CHEMICALS INC        COMMON          009158106      986     13340 Shares                         X       1      13340      0       0
AIR PRODUCTS &
CHEMICALS INC        COMMON          009158106     1250     16905 Shares                 X               3      16905      0       0
AIRGAS INC           COMMON          009363102       24       371 Shares                 X               1        371      0       0
AKAMAI
TECHNOLOGIES INC
COM                  COMMON          00971T101       21       665 Shares                 X               1        665      0       0
ALBEMARLE CORP
COM                  COMMON          012653101      653     15322 Shares                 X               1      15322      0       0
ALBEMARLE CORP
COM                  COMMON          012653101     1084     25429 Shares                         X       1      25429      0       0
ALCOA INC COM        COMMON          013817101      733     51466 Shares                 X               1      51166      0     300
ALCOA INC COM        COMMON          013817101      360     25274 Shares                         X       1      22814      0    2460
ALCOA INC COM        COMMON          013817101        3       200 Shares                 X               4        200      0       0
ALCATEL-LUCENT -
SPON ADR             COMMON          013904305       10      3219 Shares                 X               1       3219      0       0
ALCATEL-LUCENT -
SPON ADR             COMMON          013904305        1       408 Shares                         X       1        376      0      32
ALCATEL-LUCENT -
SPON ADR             COMMON          013904305        0       155 Shares                 X               2          0      0     155
ALEX & BALDWIN
INC                  COMMON          014482103      552     16710 Shares                 X               1      16710      0       0
ALEX & BALDWIN
INC                  COMMON          014482103      174      5259 Shares                         X       1       5259      0       0
ALEXANDRIA REAL
ESTATE EQUITIE       COMMON          015271109        6        91 Shares                 X               1          0      0       0
ALEXION PHARM INC    COMMON          015351109       49       900 Shares                 X               1        900      0       0
ALEXION PHARM INC    COMMON          015351109       16       300 Shares                         X       1          0      0     300
ALEXION PHARM INC    COMMON          015351109     1348     24800 Shares                 X               3      24800      0       0
ALLEGHENY ENERGY
INC                  COMMON          017361106       44      1898 Shares                 X               1       1898      0       0
ALLEGHENY ENERGY
INC                  COMMON          017361106       37      1600 Shares                         X       1       1300      0     300
ALLEGHENY
TECHNOLOGIES INC
COM                  COMMON          01741R102       52       962 Shares                 X               1        962      0       0
ALLEGHENY
TECHNOLOGIES INC
COM                  COMMON          01741R102       22       400 Shares                 X               2          0      0     400
ALLEGIANT TRAVEL
CO                   COMMON          01748X102       39       675 Shares                 X               1        675      0       0
ALLEGIANT TRAVEL
CO                   COMMON          01748X102     1041     18000 Shares                 X               3      18000      0       0
ALLERGAN INC         COMMON          018490102     1120     17154 Shares                 X               1      17126      0      28
ALLERGAN INC         COMMON          018490102      271      4150 Shares                         X       1       4150      0       0
ALLERGAN INC         COMMON          018490102     1849     28300 Shares                 X               3      28300      0       0
ALLETE INC           COMMON          018522300       44      1300 Shares                         X       1       1300      0       0
ALLIANCEBERNSTEIN
NATL MUNI IN         PREFERRED       01864U106       14      1000 Shares                         X       1          0      0       0
ALLIANT
TECHSYSTEMS INC      COMMON          018804104        5        65 Shares                 X               1         65      0       0
ALLIANT
TECHSYSTEMS INC      COMMON          018804104       33       405 Shares                         X       1        405      0       0
ALLIANCEBERNSTEIN
INCOME FUND          PREFERRED       01881E101        7       892 Shares                         X       1          0      0       0
ALLIANCEBERNSTEIN
INCOME FUND          PREFERRED       01881E101       41      5000 Shares                 X               2          0      0       0


                                     2 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ALLIANCEBERNSTEIN
HOLDING LP           COMMON          01881G106       23       750 Shares                         X       1        750      0       0
ALLIANCEBERNSTEIN
HOLDING LP           COMMON          01881G106      376     12250 Shares                 X               2          0      0   12250
ALLIANCE
FINANCIAL CORP       COMMON          019205103       74      2527 Shares                 X               2          0      0    2527
ALLIED IRISH BKS
PLC-SPON ADR         COMMON          019228402     2682    832789 Shares                 X               1     697244   4443  131102
ALLIED IRISH BKS
PLC-SPON ADR         COMMON          019228402      610    189359 Shares                         X       1     157539      0   31820
ALLSCRIPT MISYS
HLTH                 COMMON          01988P108     1838     93890 Shares                 X               1      93890      0       0
ALLSCRIPT MISYS
HLTH                 COMMON          01988P108       68      3450 Shares                         X       1       3450      0       0
ALLSCRIPT MISYS
HLTH                 COMMON          01988P108     1273     65100 Shares                 X               3      65100      0       0
ALLSTATE CORP        COMMON          020002101      459     14199 Shares                 X               1      14199      0       0
ALLSTATE CORP        COMMON          020002101      186      5749 Shares                         X       1       5749      0       0
ALLSTATE CORP        COMMON          020002101      821     25400 Shares                 X               2          0      0   25400
ALLSTATE CORP        COMMON          020002101       31       953 Shares                 X               3        953      0       0
ALNYLAM
PHARMACEUTICALS
INC                  COMMON          02043Q107        2       100 Shares                 X               1        100      0       0
ALNYLAM
PHARMACEUTICALS
INC                  COMMON          02043Q107       60      3500 Shares                 X               2          0      0    3500
ALPHA NATURAL RES    COMMON          02076X102       25       500 Shares                 X               1        500      0       0
ALPHA NATURAL RES    COMMON          02076X102      674     13500 Shares                 X               3      13500      0       0
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED       02083A103    15294   2327926 Shares                 X               1          0      0       0
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED       02083A103     2391    364001 Shares                         X       1          0      0       0
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED       02083A103     3168    482243 Shares                 X               3          0      0       0
ALTERA CORP          COMMON          021441100      311     12814 Shares                 X               1      12814      0       0
ALTERA CORP          COMMON          021441100     2380     97900 Shares                 X               3      97900      0       0
ALTRIA GROUP INC     COMMON          02209S103     5336    260044 Shares                 X               1     258194      0    1850
ALTRIA GROUP INC     COMMON          02209S103     2731    133088 Shares                         X       1     129065      0    4023
ALTRIA GROUP INC     COMMON          02209S103      325     15820 Shares                 X               2      11820      0    4000
ALTRIA GROUP INC     COMMON          02209S103      208     10136 Shares                 X               3      10136      0       0
AMAZON.COM INC       COMMON          023135106     1813     13352 Shares                 X               1      13215      0     137
AMAZON.COM INC       COMMON          023135106      330      2428 Shares                         X       1       1488      0     940
AMAZON.COM INC       COMMON          023135106       41       300 Shares                 X               2          0      0     300
AMAZON.COM INC       COMMON          023135106     1194      8800 Shares                 X               3       8800      0       0
AMBAC FINANCIAL
GROUP INC            COMMON          023139108        0       165 Shares                         X       1        165      0       0
AMEREN CORP          COMMON          023608102       25       940 Shares                 X               1        940      0       0
AMEREN CORP          COMMON          023608102       13       500 Shares                         X       1        500      0       0
AMERICA MOVIL SA
- SPONS ADR S        COMMON          02364W105       53      1050 Shares                 X               1       1050      0       0
AMERICA MOVIL SA
- SPONS ADR S        COMMON          02364W105      151      3000 Shares                         X       1          0      0    3000
AMERICA MOVIL SA
- SPONS ADR S        COMMON          02364W105      101      2000 Shares                 X               2          0      0    2000
AMERICAN CAPITAL
LTD                  COMMON          02503Y103        2       399 Shares                 X               1        399      0       0
AMERICAN CAPITAL
LTD                  COMMON          02503Y103     1726    339790 Shares                 X               2      76972      0  262818
AMERICAN
ELECTRIC POWER
CO INC               COMMON          025537101       78      2269 Shares                 X               1       2269      0       0
AMERICAN
ELECTRIC POWER
CO INC               COMMON          025537101      168      4914 Shares                         X       1       2084      0    2830
AMERICAN EAGLE
OUTFITTER INC        COMMON          02553E106        9       500 Shares                 X               3        500      0       0
AMERICAN
ELECTRIC
TECHNOLOGIES         COMMON          025576109        0       100 Shares                 X               1        100      0       0
AMERICAN
ELECTRIC
TECHNOLOGIES         COMMON          025576109        0       160 Shares                 X               2          0      0     160
AM EX CO             COMMON          025816109     1434     34762 Shares                 X               1      34162      0     600
AM EX CO             COMMON          025816109      438     10613 Shares                         X       1       8335      0    2278
AM EX CO             COMMON          025816109     1339     32438 Shares                 X               2       7650      0   24788
AM EX CO             COMMON          025816109      126      3064 Shares                 X               3       1670      0    1394
AM EX CO             COMMON          025816109        8       200 Shares                 X               4        200      0       0
AMERICAN
FINANCIAL GROUP
INC                  COMMON          025932104       17       600 Shares                         X       1          0      0     600
AMERICAN INTL
GROUP PFD CV 8.5     PREFERRED       026874115        5       500 Shares                 X               1          0      0       0
AMERICAN INTL
GROUP PFD CV 8.5     PREFERRED       026874115      381     37250 Shares                 X               2          0      0       0


                                     3 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
AMERICAN
INTERNATIONAL
GROUP                COMMON          026874784        5       135 Shares                 X               1        135      0       0
AMERICAN
INTERNATIONAL
GROUP                COMMON          026874784        7       206 Shares                         X       1        106      0     100
AMERICAN
INTERNATIONAL
GROUP                COMMON          026874784        2        52 Shares                 X               2          0      0      52
AMERICAN
PHYSICIANS
CAPITAL IN           COMMON          028884104        2        65 Shares                 X               1         65      0       0
AMERICAN SELECT
PORTFOLIO            PREFERRED       029570108       11       900 Shares                 X               1          0      0       0
AMERICAN TOWER
CORP CL A            COMMON          029912201        9       200 Shares                 X               1        200      0       0
AMERICAN
STRATEGIC INCOME
II                   PREFERRED       030099105       10      1000 Shares                 X               1          0      0       0
AMERICAN
STRATEGIC INCOME
III                  PREFERRED       03009T101        9      1000 Shares                 X               1          0      0       0
AMERICAN WATER
WORKS CO INC         COMMON          030420103       12       550 Shares                 X               1        550      0       0
AMERICREDIT CORP     COMMON          03060R101      119      5010 Shares                 X               1       5010      0       0
AMERISAFE INC        COMMON          03071H100        3       207 Shares                 X               1        207      0       0
AMERISOURCE
BERGEN CORP COM      COMMON          03073E105       23       800 Shares                 X               1        800      0       0
AMERIGROUP CORP      COMMON          03073T102       48      1450 Shares                 X               1       1450      0       0
AMERIGROUP CORP      COMMON          03073T102     1313     39500 Shares                 X               3      39500      0       0
AMERIPRISE
FINANCIAL INC        COMMON          03076C106       87      1915 Shares                 X               1       1795      0     120
AMERIPRISE
FINANCIAL INC        COMMON          03076C106       60      1324 Shares                         X       1       1129      0     195
AMERIPRISE
FINANCIAL INC        COMMON          03076C106       81      1790 Shares                 X               2          0      0    1790
AMERIS BANCORP       COMMON          03076K108        1       123 Shares                 X               1        123      0       0
AMERIGAS
PARTNERS LP          COMMON          030975106       52      1300 Shares                         X       1       1300      0       0
AMETEK AEROSPACE
PRODS INC COM        COMMON          031100100       43      1038 Shares                 X               1       1038      0       0
AMGEN INC COM        COMMON          031162100     7911    132213 Shares                 X               1     131763      0     450
AMGEN INC COM        COMMON          031162100     1962     32797 Shares                         X       1      26172      0    6625
AMGEN INC COM        COMMON          031162100      466      7794 Shares                 X               2          0      0    7794
AMGEN INC COM        COMMON          031162100     1195     19986 Shares                 X               3      18768      0    1218
AMGEN INC COM        COMMON          031162100       12       200 Shares                 X               4        200      0       0
AMGEN INC COM        COMMON          031162100       36       600 Shares                         X       4        600      0       0
AMKOR TECHNOLOGY
INC                  COMMON          031652100      142     20000 Shares                 X               2          0      0   20000
ANADARKO
PETROLEUM CORP       COMMON          032511107     2001     27475 Shares                 X               1      27475      0       0
ANADARKO
PETROLEUM CORP       COMMON          032511107      273      3748 Shares                         X       1       3748      0       0
ANADARKO
PETROLEUM CORP       COMMON          032511107     2902     39854 Shares                 X               2      11800      0   28054
ANADARKO
PETROLEUM CORP       COMMON          032511107      122      1669 Shares                 X               3        850      0     819
ANALOG DEVICES
INC                  COMMON          032654105     1018     35332 Shares                 X               1      35332      0       0
ANALOG DEVICES
INC                  COMMON          032654105       10       360 Shares                         X       1        360      0       0
ANALOG DEVICES
INC                  COMMON          032654105      605     21000 Shares                 X               2          0      0   21000
ANALOG DEVICES
INC                  COMMON          032654105     1054     36577 Shares                 X               3      36577      0       0
ANCHOR BANCORP
WISCONSIN INC        COMMON          032839102        0       250 Shares                 X               1        250      0       0
ANGLOGOLD
ASHANTI SPON ADR     COMMON          035128206        4       100 Shares                 X               1        100      0       0
ANHEUSER-BUSCH
INBEV NV             COMMON          03524A108        2        38 Shares                 X               1         38      0       0
ANHEUSER-BUSCH
INBEV NV             COMMON          03524A108        1        10 Shares                         X       1         10      0       0
ANNALY CAPITAL
MANAGEMENT INC       COMMON          035710409       35      2028 Shares                 X               1          0      0       0
ANNALY CAPITAL
MANAGEMENT INC       COMMON          035710409     7489    435935 Shares                 X               2     124850      0       0
ANNAPOLIS
BANCORP
INCORPORATED         COMMON          035848100        5      1333 Shares                         X       1       1333      0       0
ANSYS INC            COMMON          03662Q105      408      9445 Shares                 X               1       9445      0       0
ANSYS INC            COMMON          03662Q105     3582     83032 Shares                 X               3      83032      0       0
ANTIGENICS INC       COMMON          037032109        0        11 Shares                 X               1         11      0       0
AON CORP             COMMON          037389103      250      5860 Shares                 X               1       5860      0       0
APACHE CORP COM      COMMON          037411105     4902     48299 Shares                 X               1      48299      0       0
APACHE CORP COM      COMMON          037411105     2185     21525 Shares                         X       1      21315      0     210
APACHE CORP COM      COMMON          037411105      205      2017 Shares                 X               3       1425      0     592
APARTMENT INVT &
MGMT CL A            COMMON          03748R101        0        17 Shares                 X               1          0      0       0


                                     4 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
APARTMENT INVT &
MGMT CL A            COMMON          03748R101       70      3779 Shares                 X               2          0      0       0
APOLLO GROUP INC
CL A                 COMMON          037604105      116      1885 Shares                 X               1       1885      0       0
APOLLO GROUP INC
CL A                 COMMON          037604105        7       120 Shares                         X       1        120      0       0
APOLLO
INVESTMENT
CORPORATION          PREFERRED       03761U106       19      1500 Shares                 X               1          0      0       0
APOLLO
INVESTMENT
CORPORATION          PREFERRED       03761U106       10       800 Shares                         X       1          0      0       0
APOLLO
INVESTMENT
CORPORATION          PREFERRED       03761U106      126      9885 Shares                 X               2          0      0       0
APOLLO
COMMERCIAL REAL
ESTATE               COMMON          03762U105       11       600 Shares                 X               2          0      0       0
APPLE INC            COMMON          037833100    18937     80581 Shares                 X               1      79277      0    1304
APPLE INC            COMMON          037833100     2608     11096 Shares                         X       1       9901      0    1195
APPLE INC            COMMON          037833100    32412    137924 Shares                 X               2      49487      0   88437
APPLE INC            COMMON          037833100     6116     26036 Shares                 X               3      25254      0     782
APPLE INC            COMMON          037833100      235      1000 Shares                         X       4       1000      0       0
APPLIED
MATERIALS INC COM    COMMON          038222105      148     11005 Shares                 X               1      10005      0    1000
APPLIED
MATERIALS INC COM    COMMON          038222105       42      3150 Shares                         X       1       2300      0     850
APPLIED
MATERIALS INC COM    COMMON          038222105      399     29600 Shares                 X               2      18100      0   11500
APPLIED MICRO CR
NEW                  COMMON          03822W406       32      3750 Shares                 X               1       3750      0       0
APPLIED MICRO CR
NEW                  COMMON          03822W406      880    102000 Shares                 X               3     102000      0       0
AQUA AMERICA INC     COMMON          03836W103       45      2543 Shares                 X               1       2543      0       0
AQUA AMERICA INC     COMMON          03836W103        4       200 Shares                         X       1        200      0       0
ARCH COAL INC        COMMON          039380100       10       454 Shares                 X               1        454      0       0
ARCH COAL INC        COMMON          039380100        7       300 Shares                 X               2          0      0     300
ARCELORMITTAL-NY
REGISTERED           COMMON          03938L104       13       300 Shares                 X               1        300      0       0
ARCHER DANIELS
MIDLAND CO COM       COMMON          039483102      166      5758 Shares                 X               1       5758      0       0
ARCHER DANIELS
MIDLAND CO COM       COMMON          039483102      436     15100 Shares                         X       1       9600      0    5500
ARM HOLDINGS PLC     COMMON          042068106      395     37054 Shares                 X               1      36936      0     118
ARM HOLDINGS PLC     COMMON          042068106       26      2476 Shares                         X       1       2476      0       0
ARRIS GROUP          COMMON          04269Q100      408     34000 Shares                         X       1      34000      0       0
ART TECHNOLOGY
GROUP                COMMON          04289L107       44      9875 Shares                 X               1       9875      0       0
ART TECHNOLOGY
GROUP                COMMON          04289L107     1195    271000 Shares                 X               3     271000      0       0
ART TECHNOLOGY
GROUP                COMMON          04289L107      571    129481 Shares           X                           129481      0       0
ARTESIAN
RESOURCES
CORPORATION          COMMON          043113208       79      4491 Shares                 X               1       4491      0       0
ARUBA NETWORKS       COMMON          043176106       43      3175 Shares                 X               1       3175      0       0
ARUBA NETWORKS       COMMON          043176106     1188     87000 Shares                 X               3      87000      0       0
ASBURY
AUTOMOTIVE GROUP
INC                  COMMON          043436104        2       179 Shares                 X               1        179      0       0
ASCENT MEDIA
CORPORATION - A      COMMON          043632108        3       122 Shares                         X       1        122      0       0
ASHLAND INC          COMMON          044209104       66      1250 Shares                 X               1       1250      0       0
ASHLAND INC          COMMON          044209104       25       474 Shares                         X       1        474      0       0
ASTEC INDUSTRIES
INC                  COMMON          046224101        9       300 Shares                 X               1        300      0       0
ASTRAZENECA
GROUP PLC
SPONSORE             COMMON          046353108       33       740 Shares                 X               1        740      0       0
ASTRAZENECA
GROUP PLC
SPONSORE             COMMON          046353108       18       400 Shares                         X       1        400      0       0
ATHENAHEALTH INC     COMMON          04685W103      433     11831 Shares                 X               1      11799      0      32
ATHENAHEALTH INC     COMMON          04685W103       90      2450 Shares                         X       1       2450      0       0
ATHEROS
COMMUNICATNS         COMMON          04743P108       37       950 Shares                 X               1        950      0       0
ATHEROS
COMMUNICATNS         COMMON          04743P108     1042     26925 Shares                 X               3      26925      0       0
ATLAS AIR
WORLDWIDE            COMMON          049164205       52       975 Shares                 X               1        975      0       0
ATLAS AIR
WORLDWIDE            COMMON          049164205     1751     33000 Shares                 X               3      33000      0       0
ATLAS PIPELINE
PARTNERS LP          COMMON          049392103        1        60 Shares                         X       1         60      0       0
ATMEL CORP           COMMON          049513104      176     34860 Shares                 X               1      34860      0       0
ATMEL CORP           COMMON          049513104     1468    291900 Shares                 X               3     291900      0       0
ATMOS ENERGY CORP    COMMON          049560105       36      1250 Shares                 X               1       1250      0       0


                                     5 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
AUTODESK INC         COMMON          052769106      279      9506 Shares                 X               1       9506      0       0
AUTODESK INC         COMMON          052769106       29      1000 Shares                         X       1       1000      0       0
AUTODESK INC         COMMON          052769106     2061     70057 Shares                 X               3      70057      0       0
AUTOMATIC DATA
PROCESSING INC       COMMON          053015103     1971     44332 Shares                 X               1      42382      0    1950
AUTOMATIC DATA
PROCESSING INC       COMMON          053015103     1966     44206 Shares                         X       1      41456      0    2750
AUTOMATIC DATA
PROCESSING INC       COMMON          053015103      671     15090 Shares                 X               2          0      0   15090
AUTOZONE INC COM     COMMON          053332102       38       218 Shares                 X               1        218      0       0
AUTOZONE INC COM     COMMON          053332102       36       208 Shares                         X       1        208      0       0
AUXILIUM
PHARMACEUTI          COMMON          05334D107     1018     32671 Shares                 X               1      32671      0       0
AUXILIUM
PHARMACEUTI          COMMON          05334D107     5174    166053 Shares                 X               3     166053      0       0
AVALONBAY
COMMUNITIES INC      COMMON          053484101       22       257 Shares                 X               1          0      0       0
AVALONBAY
COMMUNITIES INC      COMMON          053484101       36       412 Shares                 X               2          0      0       0
AVERY DENNISON
CORP COM             COMMON          053611109        2        58 Shares                 X               1         58      0       0
AVIAT NETWORKS
INC                  COMMON          05366Y102        4       625 Shares                 X               1        625      0       0
AVIAT NETWORKS
INC                  COMMON          05366Y102        3       384 Shares                         X       1        384      0       0
AVIS BUDGET GROUP    COMMON          053774105       54      4725 Shares                 X               1       4725      0       0
AVIS BUDGET GROUP    COMMON          053774105        3       276 Shares                         X       1        276      0       0
AVIS BUDGET GROUP    COMMON          053774105     1484    129000 Shares                 X               3     129000      0       0
AVISTA CORP          COMMON          05379B107       48      2300 Shares                 X               2          0      0    2300
AVON PRODUCTS INC    COMMON          054303102     1228     36269 Shares                 X               1      36269      0       0
AVON PRODUCTS INC    COMMON          054303102      299      8824 Shares                         X       1       7824      0    1000
AVON PRODUCTS INC    COMMON          054303102     1624     47924 Shares                 X               3      47924      0       0
AXA SPONSORED ADR    COMMON          054536107        3       120 Shares                 X               1        120      0       0
AXA SPONSORED ADR    COMMON          054536107        2        74 Shares                         X       1         74      0       0
BB&T CORP COM        COMMON          054937107      723     22325 Shares                 X               1      20625      0    1700
BB&T CORP COM        COMMON          054937107      675     20850 Shares                         X       1      20850      0       0
BB&T CORP COM        COMMON          054937107     1564     48311 Shares                 X               2      21190      0   27121
BB&T CORP COM        COMMON          054937107       41      1275 Shares                 X               3       1275      0       0
B & G FOODS INC      COMMON          05508R106        7       645 Shares                         X       1        645      0       0
BCE INC              COMMON          05534B760       41      1408 Shares                 X               1       1408      0       0
BCE INC              COMMON          05534B760        2        78 Shares                         X       1          0      0      78
BJ SVCS CO COM       COMMON          055482103        5       215 Shares                 X               1        215      0       0
BJ'S WHOLESALE
CLUB INC COM         COMMON          05548J106        1        19 Shares                 X               1         19      0       0
BOK FINANCIAL
CORPORATION          COMMON          05561Q201        1        11 Shares                 X               1         11      0       0
BP PLC SPONSORED
ADR                  COMMON          055622104    11810    206935 Shares                 X               1     206935      0       0
BP PLC SPONSORED
ADR                  COMMON          055622104     9442    165445 Shares                         X       1     153435      0   12010
BP PLC SPONSORED
ADR                  COMMON          055622104     3632     63634 Shares                 X               2          0      0   63634
BP PLC SPONSORED
ADR                  COMMON          055622104      146      2560 Shares                 X               3       2560      0       0
BP PRUDHOE BAY
RTY TR UNIT BEN      COMMON          055630107       15       150 Shares                 X               1        150      0       0
BP PRUDHOE BAY
RTY TR UNIT BEN      COMMON          055630107        5        50 Shares                         X       1         50      0       0
BMC SOFTWARE INC
COM                  COMMON          055921100      202      5310 Shares                 X               1       4835      0     475
BMC SOFTWARE INC
COM                  COMMON          055921100      124      3270 Shares                         X       1        630      0    2640
BAIDU INC-SPON
ADR                  COMMON          056752108       60       100 Shares                 X               1        100      0       0
BAIDU INC-SPON
ADR                  COMMON          056752108        2         4 Shares                         X       1          4      0       0
BAKER HUGHES INC
COM                  COMMON          057224107       19       408 Shares                 X               1        408      0       0
BAKER HUGHES INC
COM                  COMMON          057224107       54      1150 Shares                         X       1       1150      0       0
BAKER HUGHES INC
COM                  COMMON          057224107     1443     30810 Shares                 X               2      15800      0   15010
BALL CORPORATION     COMMON          058498106     1281     24000 Shares                 X               1      24000      0       0
BANCO BILBAO
VIZCAYA ARGENTARI    COMMON          05946K101      251     18371 Shares                 X               1      18371      0       0
BANCO SANTANDER
SA - SPONS ADR       COMMON          05964H105      309     23318 Shares                 X               1      23318      0       0


                                     6 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
BANCO SANTANDER
SA - SPONS ADR       COMMON          05964H105        4       267 Shares                         X       1        132      0     135
BANCORP RHODE
ISLAND INC           COMMON          059690107        1        44 Shares                 X               1         44      0       0
BANK AMER CORP       COMMON          060505104     8743    489788 Shares                 X               1     478997      0   10791
BANK AMER CORP       COMMON          060505104     2741    153583 Shares                         X       1     143083      0   10500
BANK AMER CORP       COMMON          060505104     8227    460886 Shares                 X               2     148669      0  312217
BANK AMER CORP       COMMON          060505104     2871    160832 Shares                 X               3     151592      0    9240
BANK AMER CORP       COMMON          060505104        2        85 Shares                 X               4         85      0       0
BANK AMER CORP
WARRANTS     10      COMMON          060505153     1869    520500 Shares                 X               2          0      0  520500
BANK OF FLORIDA
CORPORATION          COMMON          062128103        2      2782 Shares                 X               2          0      0    2782
BANK OF HAWAII
CORP                 COMMON          062540109        3        75 Shares                         X       1         75      0       0
BANK NEW YORK
MELLON CORP          COMMON          064058100     4167    134947 Shares                 X               1     132497      0    2450
BANK NEW YORK
MELLON CORP          COMMON          064058100      804     26037 Shares                         X       1      21130      0    4907
BANK NEW YORK
MELLON CORP          COMMON          064058100     1202     38931 Shares                 X               2          0      0   38931
BANK NEW YORK
MELLON CORP          COMMON          064058100       50      1603 Shares                 X               3       1603      0       0
BAR HARBOR
BANCSHARES           COMMON          066849100      128      4200 Shares                 X               2          0      0    4200
BARD C R INC COM     COMMON          067383109       61       709 Shares                 X               1        709      0       0
BARD C R INC COM     COMMON          067383109      303      3500 Shares                         X       1       3500      0       0
BARCLAYS PLC -
SPONS ADR            COMMON          06738E204       87      4000 Shares                         X       1       4000      0       0
BARRICK GOLD CORP    COMMON          067901108       48      1262 Shares                 X               1       1262      0       0
BARRICK GOLD CORP    COMMON          067901108      184      4800 Shares                         X       1       4800      0       0
BARRICK GOLD CORP    COMMON          067901108        7       175 Shares                 X               2          0      0     175
BAXTER INTL INC      COMMON          071813109      712     12237 Shares                 X               1      12237      0       0
BAXTER INTL INC      COMMON          071813109      429      7364 Shares                         X       1       7364      0       0
BAXTER INTL INC      COMMON          071813109      291      5000 Shares                 X               2          0      0    5000
BAYTEX ENERGY
TRUST - UNITS        COMMON          073176109       98      2875 Shares                 X               2          0      0    2875
BE AEROSPACE INC     COMMON          073302101        1        38 Shares                 X               1         38      0       0
BECKMAN COULTER
INC                  COMMON          075811109      200      3180 Shares                         X       1       2180      0    1000
BECKMAN COULTER
INC                  COMMON          075811109     1036     16500 Shares                 X               2          0      0   16500
BECTON DICKINSON
& CO COM             COMMON          075887109     1289     16368 Shares                 X               1      16368      0       0
BECTON DICKINSON
& CO COM             COMMON          075887109      644      8174 Shares                         X       1       8174      0       0
BECTON DICKINSON
& CO COM             COMMON          075887109       51       650 Shares                 X               2          0      0     650
BED BATH &
BEYOND INC COM       COMMON          075896100      139      3175 Shares                 X               1       3175      0       0
BED BATH &
BEYOND INC COM       COMMON          075896100       53      1200 Shares                 X               2          0      0    1200
BELDEN INC           COMMON          077454106        1        50 Shares                 X               1         50      0       0
BELL
MICROPRODUCTS INC    COMMON          078137106        2       300 Shares                 X               1        300      0       0
BEMIS INC            COMMON          081437105       23       800 Shares                         X       1        800      0       0
BERKLEY (WR)
CORP-RTS             COMMON          084423102        1        32 Shares                 X               1         32      0       0
BERKSHIRE
HATHAWAY INC
CLASS A              COMMON          084670108      609         5 Shares                         X       1          5      0       0
BERKSHIRE
HATHAWAY INC
CLASS A              COMMON          084670108      365         3 Shares                 X               2          0      0       3
BERKSHIRE
HATHAWAY INC DEL
CL                   COMMON          084670702     2744     33768 Shares                 X               1      33060      0     708
BERKSHIRE
HATHAWAY INC DEL
CL                   COMMON          084670702     1185     14575 Shares                         X       1      12404      0    2171
BERKSHIRE
HATHAWAY INC DEL
CL                   COMMON          084670702      947     11650 Shares                 X               2          0      0   11650
BEST BUY COMPANY
INC                  COMMON          086516101     1552     36476 Shares                 X               1      36476      0       0
BEST BUY COMPANY
INC                  COMMON          086516101      189      4449 Shares                         X       1       4449      0       0
BEST BUY COMPANY
INC                  COMMON          086516101       81      1900 Shares                 X               2          0      0    1900
BEST BUY COMPANY
INC                  COMMON          086516101      224      5277 Shares                 X               3       4031      0    1246
BHP BILLITON LTD
SPONSORED ADR        COMMON          088606108      540      6718 Shares                 X               1       6718      0       0
BHP BILLITON LTD
SPONSORED ADR        COMMON          088606108      514      6402 Shares                         X       1       4870      0    1532
BIOMARIN
PHARMACEUTICAL
INC                  COMMON          09061G101        5       200 Shares                 X               1        200      0       0
BIOGEN IDEC INC      COMMON          09062X103      470      8186 Shares                 X               1       8186      0       0


                                     7 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
BIOGEN IDEC INC      COMMON          09062X103      123      2135 Shares                         X       1       2025      0     110
BIOGEN IDEC INC      COMMON          09062X103      840     14630 Shares                 X               2          0      0   14630
BIOTECH HOLDRS
TRUST                COMMON          09067D201        6        60 Shares                 X               1         60      0       0
BIOSCRIPT INC        COMMON          09069N108       29      3675 Shares                 X               1       3675      0       0
BIOSCRIPT INC        COMMON          09069N108      798    100000 Shares                 X               3     100000      0       0
BLACK HILLS CORP     COMMON          092113109       55      1800 Shares                 X               1       1800      0       0
BLACKROCK INC        COMMON          09247X101     4016     18443 Shares                 X               1      18443      0       0
BLACKROCK INC        COMMON          09247X101      460      2111 Shares                         X       1       2111      0       0
BLACKROCK INC        COMMON          09247X101      133       613 Shares                 X               3        331      0     282
BLACKROCK MUN
INC TRUST            PREFERRED       09248F109       14      1000 Shares                         X       1          0      0       0
BLACKROCK
MARYLAND MUNI BD
TR                   PREFERRED       09249L105       46      3000 Shares                 X               2          0      0       0
BLACKROCK HEALTH
SCIENCES TRUS        PREFERRED       09250W107      132      5000 Shares                         X       1          0      0       0
BLACKROCK INTL
GROWTH & INCOME      PREFERRED       092524107       57      5000 Shares                 X               1          0      0       0
BLACKROCK
MUNIYLD QUALITY
FUND                 PREFERRED       09254G108       84      6850 Shares                         X       1          0      0       0
BLACKROCK
MUNIHLDGS NJ
INSURED              PREFERRED       09254X101       44      3050 Shares                         X       1          0      0       0
BLACKROCK
MUNIHLDGS NY
INSURED              PREFERRED       09255C106       43      3050 Shares                         X       1          0      0       0
BLACKROCK
MUNIYLD
PENNSYLVANIA         PREFERRED       09255G107        7       491 Shares                 X               1          0      0       0
BLACKROCK
MUNIYLD
PENNSYLVANIA         PREFERRED       09255G107      104      7490 Shares                         X       1          0      0       0
BLACKROCK CORP
HI YLD FD V          PREFERRED       09255N102      211     18980 Shares                 X               1          0      0       0
BLACKROCK CORP
HI YLD FD VI         PREFERRED       09255P107      179     16260 Shares                 X               1          0      0       0
BLOCK H & R INC      COMMON          093671105        7       370 Shares                 X               1        370      0       0
BLUE COAT SYSTEMS    COMMON          09534T508       57      1850 Shares                 X               1       1850      0       0
BLUE COAT SYSTEMS    COMMON          09534T508     1568     50500 Shares                 X               3      50500      0       0
BOARDWALK
PIPELINE
PARTNERS LP          COMMON          096627104       74      2500 Shares                 X               2          0      0    2500
BOEING CO COM        COMMON          097023105     3802     52366 Shares                 X               1      51666      0     700
BOEING CO COM        COMMON          097023105     1310     18047 Shares                         X       1      17572      0     475
BOEING CO COM        COMMON          097023105      238      3280 Shares                 X               2          0      0    3280
BOEING CO COM        COMMON          097023105     2433     33507 Shares                 X               3      33507      0       0
BON-TON STORES
INCORPORATED         COMMON          09776J101      232     17320 Shares                 X               1      17320      0       0
BORG WARNER INC      COMMON          099724106      208      5458 Shares                 X               1       5458      0       0
BORG WARNER INC      COMMON          099724106     1819     47651 Shares                 X               3      47651      0       0
BOSTON BEER
INCORPORATED
CLASS                COMMON          100557107       37       702 Shares                 X               1        702      0       0
BOSTON
PROPERTIES INC
(REIT)               COMMON          101121101       69       910 Shares                 X               1          0      0       0
BOSTON
PROPERTIES INC
(REIT)               COMMON          101121101       75      1000 Shares                         X       1          0      0       0
BOSTON
SCIENTIFIC CORP
COM                  COMMON          101137107        2       243 Shares                 X               1        243      0       0
BOSTON
SCIENTIFIC CORP
COM                  COMMON          101137107       34      4690 Shares                         X       1       4690      0       0
BRANDYWINE
REALTY TRUST
(REIT)               COMMON          105368203       18      1500 Shares                 X               1          0      0       0
BRASIL TELECOM
SA - ADR             COMMON          10553M101        0        18 Shares                         X       1         18      0       0
BRASIL TELECOM
SA - ADR             COMMON          10553M200        0        10 Shares                         X       1         10      0       0
BRINKER INTL INC     COMMON          109641100      364     18888 Shares                 X               1      18888      0       0
BRINKER INTL INC     COMMON          109641100      142      7350 Shares                         X       1       7350      0       0
BRINKER INTL INC     COMMON          109641100     2828    146700 Shares                 X               3     146700      0       0
BRISTOL-MYERS
SQUIBB CO            COMMON          110122108     7723    289248 Shares                 X               1     288148      0    1100
BRISTOL-MYERS
SQUIBB CO            COMMON          110122108     7169    268508 Shares                         X       1     242382      0   26126
BRISTOL-MYERS
SQUIBB CO            COMMON          110122108     7062    264520 Shares                 X               2      61400      0  203120
BRISTOL-MYERS
SQUIBB CO            COMMON          110122108      118      4420 Shares                 X               3       4420      0       0
BRISTOL-MYERS
SQUIBB CO            COMMON          110122108        7       250 Shares                 X               4        250      0       0
BRISTOL-MYERS
SQUIBB CO            COMMON          110122108       13       500 Shares                         X       4        500      0       0
BRITISH AMERICAN
TOBACCO-SP AD        COMMON          110448107       58       846 Shares                 X               1        846      0       0
BRITISH AMERICAN
TOBACCO-SP AD        COMMON          110448107       75      1090 Shares                         X       1       1090      0       0
BRITISH SKY


                                     8 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
BROADCASTING SPON    COMMON          111013108        3        84 Shares                 X               1         84      0       0
BRITISH SKY
BROADCASTING SPON    COMMON          111013108        1        26 Shares                         X       1         26      0       0
BROADCOM CORP        CLASS A         111320107      305      9172 Shares                 X               1       9172      0       0
BROADCOM CORP        CLASS A         111320107        2        68 Shares                         X       1         68      0       0
BROADCOM CORP        CLASS A         111320107     1669     50300 Shares                 X               3      50300      0       0
BROADRIDGE
FINANCIAL
SOLUTIONS            COMMON          11133T103        7       343 Shares                 X               1        343      0       0
BROADRIDGE
FINANCIAL
SOLUTIONS            COMMON          11133T103       20       935 Shares                         X       1        935      0       0
BROADRIDGE
FINANCIAL
SOLUTIONS            COMMON          11133T103       34      1600 Shares                 X               2          0      0    1600
BROCADE
COMMUNICATIONS
SYSTEM               COMMON          111621306      242     42310 Shares                 X               1      42310      0       0
BROCADE
COMMUNICATIONS
SYSTEM               COMMON          111621306       17      3000 Shares                         X       1          0      0    3000
BROWN & BROWN INC    COMMON          115236101      251     14000 Shares                 X               1      14000      0       0
BROWN-FORMAN
CORP CL B            COMMON          115637209      300      5042 Shares                 X               1       5042      0       0
BROWN-FORMAN
CORP CL B            COMMON          115637209      120      2019 Shares                         X       1       2019      0       0
BROWN-FORMAN
CORP CL B            COMMON          115637209      401      6750 Shares                 X               2          0      0    6750
BRYN MAWR BANK
CORPORATION          COMMON          117665109       36      1992 Shares                 X               1       1992      0       0
BUCKEYE GP
HOLDINGS LP          COMMON          118167105       69      2000 Shares                 X               2          0      0    2000
BUCKEYE PARTNERS
LIMITED
PARTNERSHIP          COMMON          118230101       57       950 Shares                         X       1        950      0       0
BUCKEYE PARTNERS
LIMITED
PARTNERSHIP          COMMON          118230101      258      7500 Shares                 X               2       7500      0       0
BUCKEYE
TECHNOLOGIES INC     COMMON          118255108        8       589 Shares                 X               1        589      0       0
BUCYRUS INTL NEW     COM USD 0.01    118759109       41       625 Shares                 X               1        625      0       0
BUCYRUS INTL NEW     COM USD 0.01    118759109      882     13365 Shares                 X               3      13365      0       0
CBL & ASSOCIATES
PROPERTIES           COMMON          124830100        2       179 Shares                 X               1          0      0       0
CBS CORPORATION      CLASS B         124857202      694     49773 Shares                 X               1      49773      0       0
CBS CORPORATION      CLASS B         124857202       45      3198 Shares                         X       1       2873      0     325
CBS CORPORATION      CLASS B         124857202     2882    206705 Shares                 X               3     206705      0       0
CB RICHARD ELLIS
GRP                  CLASS A         12497T101      964     60842 Shares                 X               1      60842      0       0
CB RICHARD ELLIS
GRP                  CLASS A         12497T101      374     23600 Shares                 X               2      14100      0    9500
CB RICHARD ELLIS
GRP                  CLASS A         12497T101     6324    398967 Shares                 X               3     398967      0       0
CF INDUSTRIES
HOLDINGS INC         COMMON          125269100       70       764 Shares                 X               1        764      0       0
CF INDUSTRIES
HOLDINGS INC         COMMON          125269100        2        18 Shares                         X       1         18      0       0
CH ENERGY GROUP
INC COM              COMMON          12541M102       31       750 Shares                 X               1        750      0       0
CH ENERGY GROUP
INC COM              COMMON          12541M102       78      1900 Shares                         X       1       1900      0       0
C H ROBINSON
WLDWIDE              COMMON          12541W209      464      8305 Shares                 X               1       8305      0       0
C H ROBINSON
WLDWIDE              COMMON          12541W209        6       100 Shares                         X       1        100      0       0
C H ROBINSON
WLDWIDE              COMMON          12541W209     2370     42442 Shares                 X               3      42442      0       0
CIGNA CORP           COMMON          125509109      152      4150 Shares                 X               1       4150      0       0
CIGNA CORP           COMMON          125509109      359      9805 Shares                         X       1       9805      0       0
CIGNA CORP           COMMON          125509109      841     23000 Shares                 X               3      23000      0       0
CME GROUP INC        COMMON          12572Q105       55       173 Shares                 X               1        173      0       0
CME GROUP INC        COMMON          12572Q105        4        14 Shares                         X       1         14      0       0
CMS ENERGY CORP
COM                  COMMON          125896100        1        50 Shares                 X               1         50      0       0
CNOOC LTD -ADR       COMMON          126132109      132       800 Shares                         X       1        800      0       0
CPFL ENERGIA SA
- ADR                COMMON          126153105       30       500 Shares                 X               1        500      0       0
CPFL ENERGIA SA
- ADR                COMMON          126153105       12       200 Shares                         X       1        200      0       0
CSX CORP             COMMON          126408103     3778     74216 Shares                 X               1      74216      0       0
CSX CORP             COMMON          126408103     1445     28395 Shares                         X       1      24195      0    4200
CSX CORP             COMMON          126408103       26       512 Shares                 X               2          0      0     512
CSX CORP             COMMON          126408103      166      3262 Shares                 X               3       1762      0    1500
CVS/CAREMARK CORP    COMMON          126650100     4421    120922 Shares                 X               1     118372      0    2550
CVS/CAREMARK CORP    COMMON          126650100     1554     42497 Shares                         X       1      41713      0     784


                                     9 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
CVS/CAREMARK CORP    COMMON          126650100      930     25440 Shares                 X               2          0      0   25440
CVS/CAREMARK CORP    COMMON          126650100       29       800 Shares                         X       4        800      0       0
CA INC               COMMON          12673P105      164      7000 Shares                 X               1       7000      0       0
CABOT OIL & GAS CORP COMMON          127097103      275      7468 Shares                 X               1       7468      0       0
CABOT OIL & GAS CORP COMMON          127097103     2499     67900 Shares                 X               3      67900      0       0
CAL DIVE
INTERNATIONAL INC    COMMON          12802T101        2       231 Shares                 X               1        231      0       0
CALAMOS
STRATEGIC TOT
RET FD               PREFERRED       128125101       24      2662 Shares                 X               1          0      0       0
CALAMOS
STRATEGIC TOT
RET FD               PREFERRED       128125101       46      5000 Shares                         X       1          0      0       0
CALLAWAY GOLF CO
COM                  COMMON          131193104        0        23 Shares                 X               1         23      0       0
CAMDEN PROPERTY
TRUST (REIT)         COMMON          133131102       42      1000 Shares                 X               1          0      0       0
CAMECO
CORPORATION          COMMON          13321L108      178      6512 Shares                 X               1       6512      0       0
CAMECO
CORPORATION          COMMON          13321L108        1        42 Shares                         X       1         42      0       0
CAMECO
CORPORATION          COMMON          13321L108     1450     52900 Shares                 X               3      52900      0       0
CAMERON INTL         COMMON          13342B105      349      8148 Shares                 X               1       8148      0       0
CAMERON INTL         COMMON          13342B105       47      1100 Shares                         X       1        100      0    1000
CAMERON INTL         COMMON          13342B105     1710     39900 Shares                 X               3      39900      0       0
CAMERON INTL         COMMON          13342B105       21       500 Shares                         X       4        500      0       0
CAMPBELL SOUP CO COM COMMON          134429109       65      1850 Shares                 X               1       1850      0       0
CAMPBELL SOUP CO COM COMMON          134429109      134      3800 Shares                         X       1       3800      0       0
CAMPBELL SOUP CO COM COMMON          134429109       28       800 Shares                 X               3        800      0       0
CANADIAN
NATIONAL RAILWAY
COMP                 COMMON          136375102      173      2850 Shares                 X               1       2850      0       0
CANADIAN NATURAL
RESOURCES LTD        COMMON          136385101       15       200 Shares                 X               1        200      0       0
CANADIAN PACIFIC
RAILWAY LTD          COMMON          13645T100       37       650 Shares                 X               1        650      0       0
CANON INC SPONS ADR  COMMON          138006309        7       141 Shares                 X               1        141      0       0
CAPLEASE INC         COMMON          140288101        2       429 Shares                 X               1          0      0       0
CAPITAL ONE
FINANCIAL CORP       COMMON          14040H105      636     15358 Shares                 X               1      15358      0       0
CAPITAL ONE
FINANCIAL CORP       COMMON          14040H105      330      7971 Shares                         X       1       6321      0    1650
CAPITAL ONE
FINANCIAL CORP       COMMON          14040H105     2074     50088 Shares                 X               2      30438      0   19650
CAPITAL ONE
FINANCIAL CORP       COMMON          14040H105      176      4251 Shares                 X               3       2249      0    2002
WARRANTS -
CAPITAL ONE FINL 11  COMMON          14040H139     2343    148774 Shares                 X               2          0      0  148774
CAPITALSOURCE INC    COMMON          14055X102     9977   1784894 Shares                 X               2     535794      0 1249100
CAPSTEAD
MORTGAGE CV PFD
$1.26                PREFERRED       14067E308       36      2400 Shares                 X               1          0      0       0
CARDINAL HEALTH INC  COMMON          14149Y108      119      3315 Shares                 X               1       3315      0       0
CARDINAL HEALTH INC  COMMON          14149Y108      111      3073 Shares                         X       1       3073      0       0
CARDINAL HEALTH INC  COMMON          14149Y108      216      6000 Shares                 X               2       6000      0       0
CAREFUSION CORP      COMMON          14170T101       24       894 Shares                 X               1        894      0       0
CAREFUSION CORP      COMMON          14170T101       38      1436 Shares                         X       1       1436      0       0
CARLISLE
COMPANIES INC        COMMON          142339100      152      4000 Shares                         X       1       4000      0       0
CARMIKE CINEMAS INC  COMMON          143436400       38      2752 Shares                 X               1       2752      0       0
CARMIKE CINEMAS INC  COMMON          143436400     1043     75200 Shares                 X               3      75200      0       0
CARNIVAL
CORPORATION          COMMON          143658300     2493     64121 Shares                 X               1      64121      0       0
CARNIVAL
CORPORATION          COMMON          143658300      275      7075 Shares                         X       1       6075      0    1000
CARNIVAL
CORPORATION          COMMON          143658300       38       965 Shares                 X               3        965      0       0
CARNIVAL PLC - ADR   COMMON          14365C103        1        20 Shares                         X       1         20      0       0
CARPENTER
TECHNOLOGY CORP
COM                  COMMON          144285103       28       776 Shares                         X       1        776      0       0
CARROLS
RESTAURANT GROUP
INC                  COMMON          14574X104        2       340 Shares                 X               1        340      0       0
CASH AMERICA
INTL INC             COMMON          14754D100        3        84 Shares                 X               1         84      0       0
CATALYST HEALTH
SOLU                 COMMON          14888B103       52      1250 Shares                 X               1       1250      0       0
CATALYST HEALTH
SOLU                 COMMON          14888B103      995     24050 Shares                 X               3      24050      0       0
CATERPILLAR INC      COMMON          149123101     6088     96863 Shares                 X               1      94738      0    2125


                                     10 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
CATERPILLAR INC      COMMON          149123101     1176     18719 Shares                         X       1      15164      0    3555
CATERPILLAR INC      COMMON          149123101      555      8837 Shares                 X               2          0      0    8837
CATERPILLAR INC      COMMON          149123101      141      2239 Shares                 X               3       2239      0       0
CAVCO
INDUSTRIES, INC.     COMMON          149568107        2        60 Shares                 X               1         60      0       0
CEDAR FAIR LTD
PTR                  COMMON          150185106        9       750 Shares                 X               1        750      0       0
CELADON GROUP INC    COMMON          150838100       46      3325 Shares                 X               1       3325      0       0
CELADON GROUP INC    COMMON          150838100     1269     91000 Shares                 X               3      91000      0       0
CELANESE CORP        COMMON          150870103        1        26 Shares                 X               1         26      0       0
CELERA
CORPORATION          COMMON          15100E106        4       600 Shares                 X               1        600      0       0
CELGENE CORP COM     COMMON          151020104     4157     67086 Shares                 X               1      66783      0     303
CELGENE CORP COM     COMMON          151020104      495      7992 Shares                         X       1       7192      0     800
CELGENE CORP COM     COMMON          151020104     1553     25067 Shares                 X               3      24533      0     534
CEMEX SAB SPONS
ADR PART CER         COMMON          151290889       29      2812 Shares                         X       1       2812      0       0
CENOVUS ENERGY
INC                  COMMON          15135U109       33      1252 Shares                 X               1       1252      0       0
CENTERPOINT
ENERGY INC           COMMON          15189T107       14      1000 Shares                 X               1       1000      0       0
CENTRAIS
ELETRICAS
BRAS-SP ADR          COMMON          15234Q207        1        84 Shares                 X               1         84      0       0
CENTRAL FUND OF
CANADA LTD           PREFERRED       153501101       26      1875 Shares                 X               1          0      0       0
CENTURYTEL INC
COM                  COMMON          156700106      147      4148 Shares                 X               1       4059      0      89
CENTURYTEL INC
COM                  COMMON          156700106        1        32 Shares                         X       1          0      0      32
CEPHALON INC         COMMON          156708109      173      2547 Shares                 X               1       2547      0       0
CEPHALON INC         COMMON          156708109     1453     21444 Shares                 X               3      21444      0       0
CERNER CORP          COMMON          156782104     5523     65034 Shares                 X               1      64644      0     390
CERNER CORP          COMMON          156782104      782      9213 Shares                         X       1       7268      0    1945
CERNER CORP          COMMON          156782104    10340    121745 Shares                 X               2      37205      0   84540
CERNER CORP          COMMON          156782104     2039     23981 Shares                 X               3      22903      0    1078
CHENIERE ENERGY
INC                  COMMON          16411R208       31     10000 Shares                 X               2          0      0   10000
CHESAPEAKE
ENERGY CORP COM      COMMON          165167107       51      2145 Shares                 X               1       2145      0       0
CHESAPEAKE
ENERGY CORP COM      COMMON          165167107      291     12300 Shares                 X               2          0      0   12300
CHESAPEAKE
ENERGY CONV PFD
4.5                  PREFERRED       165167842     5057     60475 Shares                 X               2      11330      0       0
CHESAPEAKE
UTILITIES
CORPORATI            COMMON          165303108       15       500 Shares                         X       1        500      0       0
CHEVRON CORP         COMMON          166764100    24985    329481 Shares                 X               1     325751      0    3730
CHEVRON CORP         COMMON          166764100    15865    209222 Shares                         X       1     196711      0   12511
CHEVRON CORP         COMMON          166764100     6213     81934 Shares                 X               2      22330      0   59604
CHEVRON CORP         COMMON          166764100      566      7459 Shares                 X               3       4188      0    3271
CHEVRON CORP         COMMON          166764100       11       150 Shares                 X               4        150      0       0
CHEVRON CORP         COMMON          166764100      152      2000 Shares                         X       4       2000      0       0
CHICAGO BRIDGE &
IRON CO N V C        COMMON          167250109        9       400 Shares                 X               1        400      0       0
CHICAGO BRIDGE &
IRON CO N V C        COMMON          167250109        1        25 Shares                         X       1         25      0       0
CHICAGO BRIDGE &
IRON CO N V C        COMMON          167250109      970     41685 Shares                 X               2          0      0   41685
CHICOS FAS INC       COMMON          168615102       26      1825 Shares                 X               1       1825      0       0
CHICOS FAS INC       COMMON          168615102      721     50000 Shares                 X               3      50000      0       0
CHIMERA
INVESTMENT CORP      COMMON          16934Q109       51     13100 Shares                 X               1          0      0       0
CHIMERA
INVESTMENT CORP      COMMON          16934Q109       28      7100 Shares                         X       1          0      0       0
CHINA MOBILE LTD
SPON ADR             COMMON          16941M109        5       100 Shares                 X               1        100      0       0
CHINA PETE &
CHEM CORP SPON AD    COMMON          16941R108        1        12 Shares                         X       1         12      0       0
CHINA
UNICOM-(HONG
KONG) ADR            COMMON          16945R104       27      2420 Shares                 X               1       2420      0       0
CHUBB CORP           COMMON          171232101      413      7970 Shares                 X               1       7970      0       0
CHUBB CORP           COMMON          171232101       52      1000 Shares                         X       1       1000      0       0
CHUBB CORP           COMMON          171232101     1245     24020 Shares                 X               2          0      0   24020
CHURCH & DWIGHT
INC                  COMMON          171340102      654      9774 Shares                 X               1       9774      0       0


                                    11 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
CHURCH & DWIGHT
INC                  COMMON          171340102     2738     40900 Shares                 X               3      40900      0       0
CINCINNATI FINL
CORP COM             COMMON          172062101      669     23137 Shares                 X               1      23137      0       0
CINCINNATI FINL
CORP COM             COMMON          172062101       33      1134 Shares                         X       1       1100      0      34
CINCINNATI FINL
CORP COM             COMMON          172062101      158      5450 Shares                 X               2          0      0    5450
CINCINNATI FINL
CORP COM             COMMON          172062101      108      3723 Shares                 X               3       1972      0    1751
CINEMARK HOLDINGS    COMMON          17243V102       32      1750 Shares                 X               1       1750      0       0
CINEMARK HOLDINGS    COMMON          17243V102      880     48000 Shares                 X               3      48000      0       0
CISCO SYSTEMS INC    COMMON          17275R102    17287    664104 Shares                 X               1     653904      0   10200
CISCO SYSTEMS INC    COMMON          17275R102     5011    192511 Shares                         X       1     174801      0   17710
CISCO SYSTEMS INC    COMMON          17275R102     5185    199200 Shares                 X               2      88453      0  110747
CISCO SYSTEMS INC    COMMON          17275R102     4760    182856 Shares                 X               3     176153      0    6703
CISCO SYSTEMS INC    COMMON          17275R102       22       850 Shares                 X               4        850      0       0
CITIGROUP INC COM    COMMON          172967101      450    110999 Shares                 X               1     109999      0    1000
CITIGROUP INC COM    COMMON          172967101      184     45402 Shares                         X       1      40292      0    5110
CITIGROUP INC COM    COMMON          172967101      384     94746 Shares                 X               2      29560      0   65186
CITIGROUP INC COM    COMMON          172967101        4       915 Shares                 X               3        915      0       0
CITIGROUP INC COM    COMMON          172967101        2       400 Shares                 X               4        400      0       0
CITRIX SYSTEMS
INC COM              COMMON          177376100      273      5759 Shares                 X               1       5759      0       0
CITRIX SYSTEMS
INC COM              COMMON          177376100        2        32 Shares                         X       1         32      0       0
CITY HOLDING
COMPANY              COMMON          177835105     1086     31662 Shares                 X               1      31662      0       0
CLARCOR INC          COMMON          179895107       30       875 Shares                 X               1        875      0       0
CLARCOR INC          COMMON          179895107      828     24000 Shares                 X               3      24000      0       0
CLARIENT INC         COMMON          180489106       26     10000 Shares                 X               1      10000      0       0
CLAYMORE S&P
GLOBAL WATER ETF     PREFERRED       18383Q507        2       100 Shares                         X       1          0      0       0
CLEAN ENERGY
FUELS                COMMON          184499101       51      2250 Shares                 X               1       2250      0       0
CLEAN ENERGY
FUELS                COMMON          184499101     1412     62000 Shares                 X               3      62000      0       0
CLIFFS NATURAL
RES                  COMMON          18683K101     6210     87530 Shares                 X               1      86915      0     615
CLIFFS NATURAL
RES                  COMMON          18683K101      428      6035 Shares                         X       1       3010      0    3025
CLIFFS NATURAL
RES                  COMMON          18683K101     1829     25775 Shares                 X               2      13125      0   12650
CLIFFS NATURAL
RES                  COMMON          18683K101     3170     44685 Shares                 X               3      42510      0    2175
CLIFFS NATURAL
RES                  COMMON          18683K101       14       200 Shares                 X               4        200      0       0
CLOROX COMPANY       COMMON          189054109     1251     19507 Shares                 X               1      19507      0       0
CLOROX COMPANY       COMMON          189054109      320      4990 Shares                         X       1       4990      0       0
CLOROX COMPANY       COMMON          189054109       64      1000 Shares                 X               2          0      0    1000
CLOUGH GLOBAL
OPPORTUNITIES        PREFERRED       18914E106      407     31225 Shares                 X               1          0      0       0
COACH INC            COMMON          189754104     1981     50138 Shares                 X               1      46638      0    3500
COACH INC            COMMON          189754104      313      7927 Shares                         X       1       7627      0     300
COACH INC            COMMON          189754104     3483     88136 Shares                 X               3      86098      0    2038
COBALT
INTERNATIONAL
ENERGY               COMMON          19075F106      128      9400 Shares                 X               2          0      0    9400
COCA COLA
BOTTLING CO
CONSOLID             COMMON          191098102       11       182 Shares                 X               1        182      0       0
COCA COLA CO COM     COMMON          191216100    15645    284447 Shares                 X               1     280872      0    3575
COCA COLA CO COM     COMMON          191216100     6388    116151 Shares                         X       1     113495      0    2656
COCA COLA CO COM     COMMON          191216100     2199     39969 Shares                 X               2      23741      0   16228
COCA COLA CO COM     COMMON          191216100     3561     64738 Shares                 X               3      60876      0    3862
COCA COLA CO COM     COMMON          191216100       14       250 Shares                 X               4        250      0       0
COCA COLA
ENTERPRISES INC      COMMON          191219104       33      1177 Shares                 X               1       1177      0       0
COCA-COLA FEMSA
SA DE CV SPON        COMMON          191241108        1        14 Shares                         X       1         14      0       0
CODORUS VALLEY
BANCORP INC          COMMON          192025104      167     22599 Shares                 X               1      19991      0    2608
CODORUS VALLEY
BANCORP INC          COMMON          192025104       69      9398 Shares                         X       1       9398      0       0
COGNIZANT TECH
SOL CORP             COMMON          192446102     1155     22662 Shares                 X               1      22620      0      42


                                    12 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
COGNIZANT TECH
SOL CORP             COMMON          192446102      453      8890 Shares                         X       1       8890      0       0
COHEN & STEERS
QUALITY INC RLT      PREFERRED       19247L106       20      2800 Shares                 X               1          0      0       0
COHEN & STEERS
QUALITY INC RLT      PREFERRED       19247L106        7      1020 Shares                 X               2          0      0       0
COHEN & STEERS
REIT & PFD INC       PREFERRED       19247X100       19      1600 Shares                         X       1          0      0       0
COHEN & STEERS
INFRASTRUCTURE       PREFERRED       19248A109      381     25561 Shares                 X               1          0      0       0
COHU INCORPORATED    COMMON          192576106       11       800 Shares                 X               1        800      0       0
COLGATE
PALMOLIVE CO COM     COMMON          194162103     7247     85002 Shares                 X               1      85002      0       0
COLGATE
PALMOLIVE CO COM     COMMON          194162103     5090     59700 Shares                         X       1      55550      0    4150
COLGATE
PALMOLIVE CO COM     COMMON          194162103    13332    156364 Shares                 X               2      54582      0  101782
COLGATE
PALMOLIVE CO COM     COMMON          194162103     1202     14101 Shares                 X               3      14101      0       0
COLGATE
PALMOLIVE CO COM     COMMON          194162103        9       100 Shares                 X               4        100      0       0
COLLECTORS
UNIVERSE INC         COMMON          19421R200        1        55 Shares                 X               1         55      0       0
COMCAST CORP NEW
A                    COMMON          20030N101     3981    211438 Shares                 X               1     211438      0       0
COMCAST CORP NEW
A                    COMMON          20030N101      850     45167 Shares                         X       1      41823      0    3344
COMCAST CORP NEW
A                    COMMON          20030N101      186      9860 Shares                 X               3       5598      0    4262
COMCAST
CORP-SPECIAL CL A    COMMON          20030N200       90      4999 Shares                 X               1       4999      0       0
COMCAST
CORP-SPECIAL CL A    COMMON          20030N200      103      5733 Shares                         X       1       5433      0     300
COMCAST
CORP-SPECIAL CL A    COMMON          20030N200        8       450 Shares                 X               4        450      0       0
COMERICA INC         COMMON          200340107       11       300 Shares                 X               1        300      0       0
COMERICA INC         COMMON          200340107       76      2000 Shares                 X               2          0      0    2000
COMMERCIAL NATL
FINANCIAL CORP       COMMON          202217105       14       820 Shares                 X               1        820      0       0
COMMSCOPE INC COM    COMMON          203372107        2        65 Shares                 X               1         65      0       0
COMMUNITY BANK
SYSTEM INC           COMMON          203607106      513     22500 Shares                 X               1          0      0   22500
COMMUNITY
BANKERS TRUST
CORP                 COMMON          203612106       33     11455 Shares                 X               2          0      0   11455
COMMUNITY HEALTH
SYS                  COMMON          203668108       30       800 Shares                 X               1        800      0       0
COMMUNITY HEALTH
SYS                  COMMON          203668108      794     21500 Shares                 X               3      21500      0       0
COMMUNITY TRUST
BANCORP INC          COMMON          204149108        2        60 Shares                 X               1         60      0       0
COMPANHIA
SIDERURGICA
SP-ADR               COMMON          20440W105       51      1268 Shares                 X               1       1268      0       0
COMPANHIA
SIDERURGICA
SP-ADR               COMMON          20440W105        2        48 Shares                         X       1         48      0       0
COMPANHIA
PARANAENSE DE
ENERGI               COMMON          20441B407        1        42 Shares                         X       1         42      0       0
COMPASS
DIVERSIFIED HLDG     COMMON          20451Q104        2       119 Shares                 X               1        119      0       0
COMPELLENT
TECHNOGES            COMMON          20452A108       47      2700 Shares                 X               1       2700      0       0
COMPELLENT
TECHNOGES            COMMON          20452A108     1316     75000 Shares                 X               3      75000      0       0
COMPLETE PROD
SERVCS               COMMON          20453E109       21      1825 Shares                 X               1       1825      0       0
COMPLETE PROD
SERVCS               COMMON          20453E109      578     50000 Shares                 X               3      50000      0       0
COMPUTER TASK
GROUP                COMMON          205477102      426     58750 Shares                 X               1      58750      0       0
CONAGRA FOODS INC    COMMON          205887102       61      2417 Shares                 X               1       2417      0       0
CONAGRA FOODS INC    COMMON          205887102       34      1346 Shares                         X       1       1346      0       0
CON-WAY INC          COMMON          205944101       18       500 Shares                 X               1        500      0       0
CON-WAY INC          COMMON          205944101       14       400 Shares                 X               2          0      0     400
CONCHO RESOURCES
INC                  COMMON          20605P101        1        19 Shares                 X               1         19      0       0
CONOCOPHILLIPS       COMMON          20825C104    11337    221555 Shares                 X               1     218100      0    3455
CONOCOPHILLIPS       COMMON          20825C104     3284     64185 Shares                         X       1      57618      0    6567
CONOCOPHILLIPS       COMMON          20825C104      231      4506 Shares                 X               2          0      0    4506
CONOCOPHILLIPS       COMMON          20825C104      451      8822 Shares                 X               3       6107      0    2715
CONOCOPHILLIPS       COMMON          20825C104       18       344 Shares                 X               4        344      0       0
CONSOL ENERGY INC    COMMON          20854P109      354      8301 Shares                 X               1       7891      0     410
CONSOL ENERGY INC    COMMON          20854P109       44      1025 Shares                         X       1          0      0    1025
CONSOLIDATED
EDISON INC           COMMON          209115104      174      3905 Shares                 X               1       3905      0       0
CONSOLIDATED
EDISON INC           COMMON          209115104       46      1034 Shares                         X       1       1034      0       0


                                    13 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
CONSOLIDATED-TOMOKA
LAND CO              COMMON          210226106        9       300 Shares                 X               1        300      0       0
CONSTANT CONTACT     COMMON          210313102       33      1400 Shares                 X               1       1400      0       0
CONSTANT CONTACT     COMMON          210313102      836     36000 Shares                 X               3      36000      0       0
CONSTELLATION
BRANDS INC CL A      COMMON          21036P108       18      1084 Shares                 X               1       1084      0       0
CONSTELLATION
BRANDS INC CL A      COMMON          21036P108        6       370 Shares                         X       1        370      0       0
CONSTELLATION
BRANDS INC CL A      COMMON          21036P108      196     11927 Shares                 X               2      11927      0       0
CONSTELLATION
ENERGY GROUP INC     COMMON          210371100     1651     47020 Shares                 X               1      47020      0       0
CONSTELLATION
ENERGY GROUP INC     COMMON          210371100     1847     52620 Shares                         X       1      52620      0       0
CONSTELLATION
ENERGY GROUP INC     COMMON          210371100       11       300 Shares                 X               3        300      0       0
CORE-MARK
HOLDING CO INC       COMMON          218681104        4       116 Shares                 X               1        116      0       0
CORN PRODS INTL
INC COM              COMMON          219023108       93      2688 Shares                         X       1       2688      0       0
CORNING INC          COMMON          219350105     3069    151854 Shares                 X               1     150354      0    1500
CORNING INC          COMMON          219350105      881     43570 Shares                         X       1      37870      0    5700
CORNING INC          COMMON          219350105     1136     56200 Shares                 X               2          0      0   56200
CORNING INC          COMMON          219350105      108      5350 Shares                 X               3       2887      0    2463
CORNING INC          COMMON          219350105        6       300 Shares                 X               4        300      0       0
COSTCO WHOLESALE
CORP COM             COMMON          22160K105      356      5965 Shares                 X               1       5965      0       0
COSTCO WHOLESALE
CORP COM             COMMON          22160K105      242      4050 Shares                         X       1       4050      0       0
COSTCO WHOLESALE
CORP COM             COMMON          22160K105       69      1150 Shares                         X       4       1150      0       0
COVANCE INC          COMMON          222816100       66      1075 Shares                 X               1       1075      0       0
COVANCE INC          COMMON          222816100       79      1283 Shares                         X       1       1283      0       0
COVANCE INC          COMMON          222816100      859     14000 Shares                 X               3      14000      0       0
COVENTRY HEALTH
CARE INC             COMMON          222862104      882     35663 Shares                 X               1      35663      0       0
COVENTRY HEALTH
CARE INC             COMMON          222862104     2761    111695 Shares                 X               2      49150      0   62545
COVENTRY HEALTH
CARE INC             COMMON          222862104     1497     60566 Shares                 X               3      60566      0       0
CRANE CO             COMMON          224399105      249      7000 Shares                         X       1       7000      0       0
CRAY INC             COMMON          225223304        0        75 Shares                 X               1         75      0       0
CREDIT SUISSE
GROUP SPONSORED      COMMON          225401108       28       552 Shares                 X               1        552      0       0
CREDIT SUISSE
GROUP SPONSORED      COMMON          225401108        1        18 Shares                         X       1         18      0       0
CREE RESEARCH
INC COM              COMMON          225447101      551      7846 Shares                 X               1       7826      0      20
CREE RESEARCH
INC COM              COMMON          225447101      183      2599 Shares                         X       1       1849      0     750
CROSS TIMBERS
ROYALTY TRUST        COMMON          22757R109        0         1 Shares                 X               1          0      0       0
CROWN HOLDINGS
INC                  COMMON          228368106      842     31231 Shares                 X               1      30231      0    1000
CROWN HOLDINGS
INC                  COMMON          228368106       11       400 Shares                         X       1        400      0       0
CROWN HOLDINGS
INC                  COMMON          228368106     2424     89900 Shares                 X               3      89900      0       0
CUMMINS INC          COMMON          231021106     2699     43560 Shares                 X               1      43010      0     550
CUMMINS INC          COMMON          231021106      172      2770 Shares                         X       1       1550      0    1220
CUMMINS INC          COMMON          231021106     5155     83226 Shares                 X               3      82005      0    1221
CURTISS WRIGHT
CORP                 COMMON          231561101       56      1622 Shares                 X               1       1622      0       0
CUTERA INC           COMMON          232109108        4       400 Shares                 X               1        400      0       0
CYTEC INDS INC       COMMON          232820100       37       782 Shares                 X               1        782      0       0
CYTEC INDS INC       COMMON          232820100      841     18000 Shares                 X               3      18000      0       0
DNB FINANCIAL
CORPORATION          COMMON          233237106       10      1878 Shares                 X               1       1878      0       0
DNP SELECT
INCOME FUND INC      PREFERRED       23325P104        5       500 Shares                 X               1          0      0       0
DNP SELECT
INCOME FUND INC      PREFERRED       23325P104        9      1000 Shares                         X       1          0      0       0
DG FASTCHANNEL
INC                  COMMON          23326R109       41      1275 Shares                 X               1       1275      0       0
DG FASTCHANNEL
INC                  COMMON          23326R109     1118     35000 Shares                 X               3      35000      0       0
DPL INC              COMMON          233293109      106      3883 Shares                 X               1       3883      0       0
DPL INC              COMMON          233293109        3       100 Shares                         X       1        100      0       0
D R HORTON INC       COMMON          23331A109      788     62549 Shares                 X               1      62549      0       0


                                    14 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
D R HORTON INC       COMMON          23331A109     1851    146917 Shares                 X               3     146917      0       0
DTE ENERGY CO        COMMON          233331107      164      3666 Shares                 X               1       3666      0       0
DTE ENERGY CO        COMMON          233331107       67      1501 Shares                         X       1       1501      0       0
DTE ENERGY CO        COMMON          233331107       13       300 Shares                 X               3        300      0       0
DWS STRATEGIC
MUNICIPAL INCOME     PREFERRED       23338T101       20      1500 Shares                         X       1          0      0       0
DANAHER CORP         COMMON          235851102     2577     32252 Shares                 X               1      32252      0       0
DANAHER CORP         COMMON          235851102      195      2440 Shares                         X       1       1870      0     570
DANAHER CORP         COMMON          235851102     6533     81750 Shares                 X               2      27490      0   54260
DANAHER CORP         COMMON          235851102     2136     26731 Shares                 X               3      26731      0       0
DARDEN
RESTAURANTS INC
COM                  COMMON          237194105      748     16802 Shares                 X               1      16802      0       0
DARDEN
RESTAURANTS INC
COM                  COMMON          237194105      187      4200 Shares                         X       1       4200      0       0
DARDEN
RESTAURANTS INC
COM                  COMMON          237194105       18       400 Shares                 X               2          0      0     400
DAVITA INC WITH
ATTACHED RIGHT       COMMON          23918K108       10       150 Shares                         X       1          0      0     150
DEERE & CO           COMMON          244199105     3755     63155 Shares                 X               1      62555      0     600
DEERE & CO           COMMON          244199105      377      6335 Shares                         X       1       4849      0    1486
DEERE & CO           COMMON          244199105     2448     41179 Shares                 X               3      41179      0       0
DEL MONTE FOODS
CO                   COMMON          24522P103       32      2207 Shares                 X               1       2207      0       0
DEL MONTE FOODS
CO                   COMMON          24522P103       11       735 Shares                         X       1        735      0       0
DELL INC             COMMON          24702R101      646     43015 Shares                 X               1      43015      0       0
DELL INC             COMMON          24702R101      280     18615 Shares                         X       1      16415      0    2200
DELL INC             COMMON          24702R101        2       100 Shares                 X               2          0      0     100
DELTA PETROLEUM
CORP                 COMMON          247907207       22     15500 Shares                         X       1      15500      0       0
DENDREON CORP        COMMON          24823Q107       38      1050 Shares                 X               1       1050      0       0
DENDREON CORP        COMMON          24823Q107     1058     29000 Shares                 X               3      29000      0       0
DENTSPLY
INTERNATIONAL
INC COM              COMMON          249030107     1327     38055 Shares                 X               1      37855      0     200
DENTSPLY
INTERNATIONAL
INC COM              COMMON          249030107      265      7600 Shares                         X       1       7600      0       0
DEUTSCHE TELEKOM
AG SPONSORED         COMMON          251566105       61      4501 Shares                 X               1       4501      0       0
DEUTSCHE TELEKOM
AG SPONSORED         COMMON          251566105        2       174 Shares                         X       1          0      0     174
DEV DIVERSIFIED
RLTY CORP            COMMON          251591103        1        57 Shares                 X               1          0      0       0
DEV DIVERSIFIED
RLTY CORP            COMMON          251591103        3       220 Shares                         X       1          0      0       0
DEVON ENERGY CORP    COMMON          25179M103      440      6835 Shares                 X               1       6835      0       0
DEVON ENERGY CORP    COMMON          25179M103       91      1414 Shares                         X       1       1414      0       0
DEVON ENERGY CORP    COMMON          25179M103      148      2300 Shares                 X               2          0      0    2300
DEVRY INC            COMMON          251893103       39       600 Shares                 X               1        600      0       0
DIAGEO PLC
SPONSORED ADR        COMMON          25243Q205      291      4307 Shares                 X               1       4307      0       0
DIAGEO PLC
SPONSORED ADR        COMMON          25243Q205       20       300 Shares                         X       1        300      0       0
DIAGEO PLC
SPONSORED ADR        COMMON          25243Q205       34       500 Shares                 X               3        500      0       0
DIAMOND OFFSHORE
DRILLING COM         COMMON          25271C102        4        50 Shares                 X               1         50      0       0
DICE HLDGS           COMMON          253017107       29      3850 Shares                 X               1       3850      0       0
DICE HLDGS           COMMON          253017107      788    103700 Shares                 X               3     103700      0       0
DIEBOLD INC          COMMON          253651103        3        90 Shares                 X               1         90      0       0
DIEBOLD INC          COMMON          253651103       11       350 Shares                         X       1        350      0       0
DIGITALGLOBE INC     COMMON          25389M877       36      1300 Shares                 X               1       1300      0       0
DIGITALGLOBE INC     COMMON          25389M877      995     35600 Shares                 X               3      35600      0       0
DINE EQUITY INC      COMMON          254423106      353      8925 Shares                 X               1       8925      0       0
DINE EQUITY INC      COMMON          254423106     4640    117375 Shares                 X               3     117375      0       0
DIONEX CORP          COMMON          254546104      965     12900 Shares                 X               2          0      0   12900
DIREXIONSHARES
DAILY FINL BEAR      PREFERRED       25459W490       26      1950 Shares                         X       1          0      0       0
DIREXIONSHARES
SMALL CAP BEAR       PREFERRED       25459W839       25      3500 Shares                         X       1          0      0       0
DISNEY WALT CO       COMMON          254687106     6969    199631 Shares                 X               1     197281      0    2350


                                    15 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
DISNEY WALT CO       COMMON          254687106     2236     64056 Shares                         X       1      58131      0    5925
DISNEY WALT CO       COMMON          254687106     1013     29012 Shares                 X               2      10012      0   19000
DISNEY WALT CO       COMMON          254687106     1801     51602 Shares                 X               3      49139      0    2463
DISNEY WALT CO       COMMON          254687106       15       425 Shares                 X               4        425      0       0
DISCOVER
FINANCIAL
SERVICES             COMMON          254709108       22      1470 Shares                 X               1       1470      0       0
DISCOVER
FINANCIAL
SERVICES             COMMON          254709108        8       521 Shares                         X       1        365      0     156
DISCOVERY
COMMUNICATIONS
INC                  COMMON          25470F104       25       734 Shares                 X               1        734      0       0
DISCOVERY
COMMUNICATIONS
INC                  COMMON          25470F104       41      1200 Shares                         X       1       1200      0       0
DISCOVERY
COMMUNICATIONS
INC -                COMMON          25470F302       22       734 Shares                 X               1        734      0       0
DISCOVERY
COMMUNICATIONS
INC -                COMMON          25470F302       63      2136 Shares                         X       1       2136      0       0
DISH NETWORK
CORP  CL A           COMMON          25470M109        5       250 Shares                 X               1        250      0       0
THE DIRECTV
GROUP HLDGS CL A     COMMON          25490A101      253      7477 Shares                 X               1       7477      0       0
THE DIRECTV
GROUP HLDGS CL A     COMMON          25490A101      313      9258 Shares                         X       1       9258      0       0
DOLBY
LABORATORIES         COMMON          25659T107      290      4938 Shares                 X               1       4938      0       0
DOLBY
LABORATORIES         COMMON          25659T107      164      2800 Shares                 X               2          0      0    2800
DOLBY
LABORATORIES         COMMON          25659T107     1895     32300 Shares                 X               3      32300      0       0
DOLLAR THRIFTY
AUTO                 COMMON          256743105       43      1325 Shares                 X               1       1325      0       0
DOLLAR THRIFTY
AUTO                 COMMON          256743105     1173     36500 Shares                 X               3      36500      0       0
DOMINION
RESOURCES BLACK
WARRI                COMMON          25746Q108       30      2200 Shares                 X               1       2200      0       0
DOMINION
RESOURCES INC        COMMON          25746U109     4399    107017 Shares                 X               1     105192      0    1825
DOMINION
RESOURCES INC        COMMON          25746U109     2787     67795 Shares                         X       1      58129      0    9666
DOMINION
RESOURCES INC        COMMON          25746U109      132      3200 Shares                 X               2          0      0    3200
DOMINION
RESOURCES INC        COMMON          25746U109       82      2000 Shares                         X       4       2000      0       0
DONNELLEY R R &
SONS CO              COMMON          257867101       48      2235 Shares                 X               1       2235      0       0
DONNELLEY R R &
SONS CO              COMMON          257867101       15       700 Shares                         X       1        700      0       0
DONNELLEY R R &
SONS CO              COMMON          257867101       91      4280 Shares                 X               2          0      0    4280
DOVER CORP           COMMON          260003108      891     19050 Shares                 X               1      19050      0       0
DOVER CORP           COMMON          260003108      326      6971 Shares                         X       1       6971      0       0
DOW CHEMICAL CO      COMMON          260543103     3778    127758 Shares                 X               1     125758      0    2000
DOW CHEMICAL CO      COMMON          260543103     1705     57664 Shares                         X       1      57389      0     275
DOW CHEMICAL CO      COMMON          260543103     1978     66875 Shares                 X               2      20625      0   46250
DOW CHEMICAL CO      COMMON          260543103     1213     41017 Shares                 X               3      41017      0       0
DREYFUS
MUNICIPAL INCOME
FUND                 PREFERRED       26201R102       65      7200 Shares                         X       1          0      0       0
DREYFUS
STRATEGIC MUN BD
FD                   PREFERRED       26202F107      226     27602 Shares                 X               1          0      0       0
DREYFUS
STRATEGIC MUN BD
FD                   PREFERRED       26202F107       57      7000 Shares                         X       1          0      0       0
DUPONT EI DE
NEMOURS & CO COM     COMMON          263534109     4972    133509 Shares                 X               1     132259      0    1250
DUPONT EI DE
NEMOURS & CO COM     COMMON          263534109     5308    142525 Shares                         X       1     138425      0    4100
DUPONT EI DE
NEMOURS & CO COM     COMMON          263534109     3505     94125 Shares                 X               2      27771      0   66354
DUPONT EI DE
NEMOURS & CO COM     COMMON          263534109      138      3699 Shares                 X               3       3699      0       0
DUPONT EI DE
NEMOURS & CO COM     COMMON          263534109        4       100 Shares                 X               4        100      0       0
DUKE REALTY CORP     COMMON          264411505       59      4747 Shares                 X               2          0      0       0
DUKE ENERGY CORP     COMMON          26441C105     1116     68406 Shares                 X               1      61406      0    7000
DUKE ENERGY CORP     COMMON          26441C105      622     38095 Shares                         X       1      34623      0    3472
DUKE ENERGY CORP     COMMON          26441C105       24      1500 Shares                 X               2          0      0    1500
DUKE ENERGY CORP     COMMON          26441C105       75      4584 Shares                 X               3       4584      0       0
DUN & BRADSTREET
CORP                 COMMON          26483E100       32       424 Shares                 X               1        424      0       0
DUN & BRADSTREET
CORP                 COMMON          26483E100       30       399 Shares                         X       1        399      0       0
EMC CORP MASS COM    COMMON          268648102     5179    287073 Shares                 X               1     287073      0       0
EMC CORP MASS COM    COMMON          268648102      894     49559 Shares                         X       1      48584      0     975
EMC CORP MASS COM    COMMON          268648102     4257    235956 Shares                 X               2      79661      0  156295


                                    16 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
EMC CORP MASS COM    COMMON          268648102      241     13336 Shares                 X               3       9631      0    3705
ENI SPA-SPONS ADR    COMMON          26874R108        1        20 Shares                         X       1         20      0       0
ENI SPA-SPONS ADR    COMMON          26874R108       10       212 Shares                 X               2          0      0     212
EOG RESOURCES
INC COM              COMMON          26875P101     2837     30529 Shares                 X               1      30129      0     400
EOG RESOURCES
INC COM              COMMON          26875P101      346      3720 Shares                         X       1       1750      0    1970
EOG RESOURCES
INC COM              COMMON          26875P101       46       500 Shares                 X               2          0      0     500
EOG RESOURCES
INC COM              COMMON          26875P101      230      2475 Shares                 X               3       1339      0    1136
EQT CORPORATION      COMMON          26884L109      271      6600 Shares                 X               1       6600      0       0
EQT CORPORATION      COMMON          26884L109      131      3200 Shares                         X       1       3200      0       0
EAGLE BANCORP
INC MD               COMMON          268948106     4508    380421 Shares                 X               2      34750      0  345671
EAGLE MATERIALS
INC COM W RIGH       COMMON          26969P108        9       345 Shares                 X               1        345      0       0
EASTGROUP
PROPERTIES
INCORPORA            COMMON          277276101     2529     67000 Shares                 X               2          0      0       0
EASTMAN CHEMICAL
COMPANY COM          COMMON          277432100       57       891 Shares                 X               1        891      0       0
EASTMAN CHEMICAL
COMPANY COM          COMMON          277432100       56       872 Shares                         X       1        372      0     500
EASTMAN KODAK CO
COM                  COMMON          277461109        9      1500 Shares                 X               1       1500      0       0
EASTMAN KODAK CO
COM                  COMMON          277461109        9      1571 Shares                         X       1       1571      0       0
EATON CORP COM       COMMON          278058102      501      6615 Shares                 X               1       6615      0       0
EATON CORP COM       COMMON          278058102       23       300 Shares                         X       1        300      0       0
EATON VANCE CORP     COMMON          278265103        8       230 Shares                 X               1        230      0       0
EATON VANCE PA
MUNI INC TR          PREFERRED       27826T101       67      5000 Shares                         X       1          0      0       0
EATON VANCE
MUNICIPAL INCOME
T                    PREFERRED       27826U108       63      5000 Shares                         X       1          0      0       0
EATON VANCE
FLOATING-RATE INC    PREFERRED       278279104        7       450 Shares                 X               1          0      0       0
EATON VANCE INSD
NY MUNI BD FD        PREFERRED       27827Y109       21      1500 Shares                         X       1          0      0       0
EATON VANCE
TAX-ADVANTAGED
DVD                  PREFERRED       27828G107       20      1250 Shares                 X               1          0      0       0
EATON VANCE
TAX-ADVANTAGED
DVD                  PREFERRED       27828G107       63      3900 Shares                         X       1          0      0       0
EATON VANCE SR
FLOATING RATE F      PREFERRED       27828Q105      422     25450 Shares                 X               1          0      0       0
EATON VANCE SR
FLOATING RATE F      PREFERRED       27828Q105       33      2000 Shares                         X       1          0      0       0
EATON VANCE TAX
MAN GLBL BR          PREFERRED       27829C105       40      3000 Shares                 X               2          0      0       0
EATON VANCE
TAX-MANAGED
GLOBAL               PREFERRED       27829F108       12      1000 Shares                         X       1          0      0       0
EBAY INC COM         COMMON          278642103      486     18010 Shares                 X               1      18010      0       0
EBAY INC COM         COMMON          278642103       27      1000 Shares                         X       1       1000      0       0
EBAY INC COM         COMMON          278642103       49      1800 Shares                 X               2          0      0    1800
ECLIPSYS CORP        COMMON          278856109       40      2000 Shares                 X               1       2000      0       0
ECLIPSYS CORP        COMMON          278856109     1083     54500 Shares                 X               3      54500      0       0
ECOLAB INC COM       COMMON          278865100      963     21900 Shares                 X               1      21900      0       0
ECOLAB INC COM       COMMON          278865100       97      2200 Shares                         X       1       2200      0       0
EDISON
INTERNATIONAL COM    COMMON          281020107      550     16098 Shares                 X               1      16098      0       0
EDISON
INTERNATIONAL COM    COMMON          281020107      204      5965 Shares                         X       1       5965      0       0
EDISON
INTERNATIONAL COM    COMMON          281020107        7       200 Shares                 X               3        200      0       0
EDWARDS
LIFESCIENCES
CORP COM             COMMON          28176E108       57       575 Shares                 X               1        575      0       0
EL PASO CORP COM     COMMON          28336L109       17      1587 Shares                 X               1       1587      0       0
EL PASO CORP COM     COMMON          28336L109       36      3332 Shares                         X       1       1332      0    2000
EL PASO CORP COM     COMMON          28336L109      163     15000 Shares                 X               2          0      0   15000
EL PASO ELECTRIC
CO                   COMMON          283677854        8       369 Shares                 X               1        369      0       0
EL PASO PIPELINE
PARTNERS LP          COMMON          283702108       56      2000 Shares                 X               2          0      0    2000
ELAN CORP PLC
SPONS ADR            COMMON          284131208        4       500 Shares                 X               1        500      0       0
ELECTRONICS ARTS
COM                  COMMON          285512109      128      6870 Shares                 X               1       6870      0       0
ELECTRONICS ARTS
COM                  COMMON          285512109       69      3700 Shares                         X       1       2500      0    1200
EMBRAER-EMPRESA
BRASILEIRA SPO       COMMON          29081M102        3       120 Shares                 X               1        120      0       0
EMCOR GROUP INC      COMMON          29084Q100        3       103 Shares                 X               1        103      0       0


                                    17 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
EMDEON INC           COMMON          29084T104        5       300 Shares                 X               1        300      0       0
EMERGING MKTS
TELECOM FD           PREFERRED       290890102        5       300 Shares                 X               1          0      0       0
EMERGENCY
MEDICAL
SERVICES-A           COMMON          29100P102     3993     70610 Shares                 X               2      19610      0   51000
EMERSON ELECTRIC
CO                   COMMON          291011104     7281    144646 Shares                 X               1     143346      0    1300
EMERSON ELECTRIC
CO                   COMMON          291011104     5564    110524 Shares                         X       1      97094      0   13430
EMERSON ELECTRIC
CO                   COMMON          291011104     4896     97260 Shares                 X               2      21480      0   75780
EMERSON ELECTRIC
CO                   COMMON          291011104      227      4503 Shares                 X               3       2437      0    2066
EMPIRE DISTRICT
ELECTRIC CO          COMMON          291641108        9       500 Shares                 X               1        500      0       0
EMULEX CORP          COMMON NEW      292475209       52      3900 Shares                 X               1       3900      0       0
EMULEX CORP          COMMON NEW      292475209     1421    107000 Shares                 X               3     107000      0       0
ENCANA CORP          COMMON          292505104       39      1252 Shares                 X               1       1252      0       0
ENCANA CORP          COMMON          292505104       28       900 Shares                         X       1        900      0       0
ENDEAVOUR
INTERNATIONAL
CORP                 COMMON          29259G101        1      1000 Shares                         X       1       1000      0       0
ENERGIZER HLDGS
INC COM              COMMON          29266R108        6       100 Shares                         X       1        100      0       0
ENERGY TRANSFER
PARTNERS LP          COMMON          29273R109       23       500 Shares                         X       1        500      0       0
ENERGY TRANSFER
PARTNERS LP          COMMON          29273R109       33       700 Shares                 X               2          0      0     700
ENERGY TRANSFER
EQUITY LP            COMMON          29273V100     1314     38950 Shares                 X               2          0      0   38950
ENERPLUS
RESOURCES FUND       COMMON          29274D604       14       600 Shares                 X               1        600      0       0
ENERPLUS
RESOURCES FUND       COMMON          29274D604       87      3655 Shares                         X       1       3655      0       0
ENERPLUS
RESOURCES FUND       COMMON          29274D604       49      2080 Shares                 X               2          0      0    2080
ENERNOC INC          COMMON          292764107       16       525 Shares                 X               1        525      0       0
ENERNOC INC          COMMON          292764107      416     14000 Shares                 X               3      14000      0       0
ENSCO
INTERNATIONAL PLC    COMMON          29358Q109     3496     78068 Shares                 X               1      77318      0     750
ENSCO
INTERNATIONAL PLC    COMMON          29358Q109      325      7255 Shares                         X       1       5060      0    2195
ENTEGRIS INC         COMMON          29362U104       46      9225 Shares                 X               1       9225      0       0
ENTEGRIS INC         COMMON          29362U104     1270    252000 Shares                 X               3     252000      0       0
ENTERGY CORP COM
NEW                  COMMON          29364G103      885     10874 Shares                 X               1      10874      0       0
ENTERGY CORP COM
NEW                  COMMON          29364G103      147      1809 Shares                         X       1       1809      0       0
ENTERPRISE
PRODUCTS
PARTNERS L           COMMON          293792107      190      5506 Shares                 X               1       5506      0       0
ENTERPRISE
PRODUCTS
PARTNERS L           COMMON          293792107       40      1150 Shares                         X       1       1150      0       0
ENTERPRISE
PRODUCTS
PARTNERS L           COMMON          293792107    12118    350444 Shares                 X               2      36122      0  314322
ENVIRONMENTAL
POWER CORP           COMMON          29406L201        0       100 Shares                 X               1        100      0       0
EQUIFAX INC COM      COMMON          294429105       43      1200 Shares                         X       1       1200      0       0
EQUITY ONE
INCORPORATED         COMMON          294752100        9       500 Shares                 X               1          0      0       0
EQUITY
RESIDENTIAL
(REIT)               COMMON          29476L107      121      3100 Shares                         X       1          0      0       0
TELEFONAKTIEBOLAGET
LM ERICSSO           COMMON          294821608       26      2506 Shares                 X               1       2506      0       0
ERIE INDEMNITY
CO CL A              COMMON          29530P102     1664     38590 Shares                 X               1      38590      0       0
DELHAIZE GROUP
SPONSORED ADR        COMMON          29759W101        8       100 Shares                 X               1        100      0       0
EVERCORE PARTNERS    CLASS A         29977A105       59      1950 Shares                 X               1       1950      0       0
EVERCORE PARTNERS    CLASS A         29977A105     1598     53275 Shares                 X               3      53275      0       0
EVERGREEN INCOME
ADV FD               PREFERRED       30023Y105       17      1800 Shares                 X               1          0      0       0
EVERGREEN ENERGY
INC                  COMMON          30024B104        4     20000 Shares                 X               2          0      0   20000
EXELON CORP          COMMON          30161N101     3668     83732 Shares                 X               1      82932      0     800
EXELON CORP          COMMON          30161N101     1317     30052 Shares                         X       1      26562      0    3490
EXPEDITORS INTL
WASH                 COMMON          302130109     1213     32854 Shares                 X               1      32818      0      36
EXPEDITORS INTL
WASH                 COMMON          302130109      127      3442 Shares                         X       1       3242      0     200
EXPEDITORS INTL
WASH                 COMMON          302130109     2254     61038 Shares                 X               3      61038      0       0
EXPRESS-1
EXPEDITED
SOLUTIONS            COMMON          30217Q108        1       800 Shares                 X               1        800      0       0
EXPRESS SCRIPTS
INC                  COMMON          302182100    13934    136933 Shares                 X               1     134714      0    2219
EXPRESS SCRIPTS
INC                  COMMON          302182100     4229     41557 Shares                         X       1      39002      0    2555


                                    18 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
EXPRESS SCRIPTS
INC                  COMMON          302182100     2510     24663 Shares                 X               3      22987      0    1676
EXXON MOBIL CORP     COMMON          30231G102    57927    864847 Shares                 X               1     851134      0   13713
EXXON MOBIL CORP     COMMON          30231G102    50906    760013 Shares                         X       1     683311      0   76702
EXXON MOBIL CORP     COMMON          30231G102     6356     94897 Shares                 X               2      25149      0   69748
EXXON MOBIL CORP     COMMON          30231G102     3402     50787 Shares                 X               3      46071      0    4716
EXXON MOBIL CORP     COMMON          30231G102       20       300 Shares                 X               4        300      0       0
EXXON MOBIL CORP     COMMON          30231G102      188      2800 Shares                         X       4       2800      0       0
FLIR SYS INC         COMMON          302445101      203      7199 Shares                 X               1       7199      0       0
FLIR SYS INC         COMMON          302445101       25       895 Shares                         X       1        895      0       0
FLIR SYS INC         COMMON          302445101     1847     65500 Shares                 X               3      65500      0       0
FMC CORP             COMMON          302491303        1        21 Shares                 X               1         21      0       0
FMC TECHNOLOGIES
INC                  COMMON          30249U101      299      4626 Shares                 X               1       4626      0       0
FMC TECHNOLOGIES
INC                  COMMON          30249U101     2120     32800 Shares                 X               3      32800      0       0
FNB CORP PA          COMMON          302520101       57      7034 Shares                 X               1       7034      0       0
FNB CORP PA          COMMON          302520101      170     20921 Shares                         X       1      16014      0    4907
FPL GROUP INC COM    COMMON          302571104     3788     78385 Shares                 X               1      78310      0      75
FPL GROUP INC COM    COMMON          302571104     2845     58868 Shares                         X       1      50326      0    8542
FPL GROUP INC COM    COMMON          302571104       14       300 Shares                 X               2          0      0     300
FPL GROUP INC COM    COMMON          302571104       14       300 Shares                 X               4        300      0       0
FACTSET RESEARCH
SYSTEMS INC          COMMON          303075105       37       500 Shares                         X       1        500      0       0
FAMILY DOLLAR
STORES               COMMON          307000109       15       400 Shares                 X               1        400      0       0
FAMILY DOLLAR
STORES               COMMON          307000109        3        75 Shares                         X       1         75      0       0
FASTENAL CO          COMMON          311900104      361      7521 Shares                 X               1       7521      0       0
FASTENAL CO          COMMON          311900104       48      1000 Shares                         X       1       1000      0       0
FASTENAL CO          COMMON          311900104     1886     39300 Shares                 X               3      39300      0       0
FREDDIE MAC          COMMON          313400301       17     13050 Shares                 X               2          0      0   13050
FED NATL MTG ASSN    COMMON          313586109        1      1000 Shares                 X               1       1000      0       0
FED NATL MTG ASSN    COMMON          313586109        3      2500 Shares                         X       1        500      0    2000
FED NATL MTG ASSN    COMMON          313586109        5      4700 Shares                 X               2          0      0    4700
FEDERAL REALTY
INV TR (REIT)        COMMON          313747206      309      4244 Shares                 X               2          0      0       0
FEDEX CORP           COMMON          31428X106     2263     24230 Shares                 X               1      21980      0    2250
FEDEX CORP           COMMON          31428X106      420      4496 Shares                         X       1       3721      0     775
FEDEX CORP           COMMON          31428X106      145      1550 Shares                 X               2          0      0    1550
FEDEX CORP           COMMON          31428X106     1855     19852 Shares                 X               3      19852      0       0
FERRELLGAS
PARTNERS LP          COMMON          315293100       46      2000 Shares                 X               1       2000      0       0
F5 NETWORKS INC      COMMON          315616102     1253     20330 Shares                 X               1      20300      0      30
F5 NETWORKS INC      COMMON          315616102      287      4657 Shares                         X       1       4657      0       0
F5 NETWORKS INC      COMMON          315616102     2153     35000 Shares                 X               3      35000      0       0
FIDELITY NATL
INFORMATION SERV     COMMON          31620M106       38      1620 Shares                 X               3       1620      0       0
FIDELITY
NATIONAL
FINANCIAL -          COMMON          31620R105       21      1441 Shares                 X               2          0      0    1441
FIFTH THIRD
BANCORP COM          COMMON          316773100      134      9856 Shares                 X               1       9856      0       0
FIFTH THIRD
BANCORP COM          COMMON          316773100      946     69763 Shares                 X               2          0      0   69763
FINISH LINE INC      CLASS A         317923100       30      1850 Shares                 X               1       1850      0       0
FINISH LINE INC      CLASS A         317923100      816     50000 Shares                 X               3      50000      0       0
FIRST COMMUNITY
BANK CORP OF A       COMMON          31985E202       15      6615 Shares                 X               2          0      0    6615
FIRST HORIZON
NATIONAL CORP        COMMON          320517105        2       109 Shares                         X       1        109      0       0
FIRST INDUSTRIAL
REALTY TR (RE        COMMON          32054K103       12      1606 Shares                 X               1          0      0       0
THE FIRST
MARBLEHEAD
CORPORATI            COMMON          320771108       86     30175 Shares                 X               2      22175      0    8000
FIRST MARINER
BANCORP INCORPOR     COMMON          320795107        3      3000 Shares                         X       1       3000      0       0
FIRST MIDWEST
BANCOR               COMMON          320867104       44      3225 Shares                 X               1       3225      0       0


                                    19 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
FIRST MIDWEST
BANCOR               COMMON          320867104     1192     88000 Shares                 X               3      88000      0       0
FIRST NIAGARA
FINANCIAL GROUP      COMMON          33582V108        4       292 Shares                 X               1        292      0       0
FIRST NIAGARA
FINANCIAL GROUP      COMMON          33582V108        3       225 Shares                         X       1        225      0       0
FIRST SOLAR INC      COMMON          336433107      375      3060 Shares                 X               1       3060      0       0
FIRST SOLAR INC      COMMON          336433107      126      1025 Shares                         X       1        700      0     325
FIRST SOLAR INC      COMMON          336433107       12       100 Shares                 X               2          0      0     100
FIRST TRUST ISE
- REVERE NATUR       PREFERRED       33734J102      106      6100 Shares                 X               1          0      0       0
FIRST TRUST ISE
- REVERE NATUR       PREFERRED       33734J102      187     10800 Shares                 X               2          0      0       0
FISERV INC           COMMON          337738108        5       100 Shares                 X               1        100      0       0
FISERV INC           COMMON          337738108       13       250 Shares                         X       1         50      0     200
FISERV INC           COMMON          337738108      802     15800 Shares                 X               2       6000      0    9800
FIRSTENERGY CORP
COM                  COMMON          337932107      193      4935 Shares                 X               1       4935      0       0
FIRSTENERGY CORP
COM                  COMMON          337932107      101      2576 Shares                         X       1       2576      0       0
FIRSTENERGY CORP
COM                  COMMON          337932107       38       960 Shares                 X               2          0      0     960
FIVE STAR
QUALITY CARE INC     COMMON          33832D106        0        10 Shares                         X       1          0      0      10
FLEXIBLE
SOLUTIONS
INTERNATION          COMMON          33938T104        0       250 Shares                 X               1        250      0       0
FLUOR CORP           COMMON          343412102      218      4680 Shares                 X               1       4680      0       0
FLUOR CORP           COMMON          343412102      153      3300 Shares                         X       1       3300      0       0
FLOWERS FOODS
INC COM              COMMON          343498101       12       500 Shares                 X               1        500      0       0
FLOWERS FOODS
INC COM              COMMON          343498101       87      3530 Shares                 X               2          0      0    3530
FLOWSERVE CORP
COM                  COMMON          34354P105       66       600 Shares                 X               1        600      0       0
FORD MOTOR CO        COMMON          345370860      250     19856 Shares                 X               1      19856      0       0
FORD MOTOR CO        COMMON          345370860       86      6813 Shares                         X       1       6350      0     463
FORD MOTOR CO        COMMON          345370860      302     24000 Shares                 X               2      24000      0       0
FORD MOTOR CAP
TR II PFD CONV       PREFERRED       345395206       31       665 Shares                         X       1          0      0       0
FOREST CITY
ENTERPRISES INC      COMMON          345550107       14      1000 Shares                 X               2          0      0    1000
FOREST LABS INC      COMMON          345838106      876     27927 Shares                 X               1      27927      0       0
FOREST LABS INC      COMMON          345838106       64      2035 Shares                         X       1       2035      0       0
FOREST LABS INC      COMMON          345838106     1934     61669 Shares                 X               3      60191      0    1478
FORESTAR GROUP
INC                  COMMON          346233109        1        42 Shares                 X               1         42      0       0
FORTINET INC         COMMON          34959E109       43      2450 Shares                 X               1       2450      0       0
FORTINET INC         COMMON          34959E109     1178     67000 Shares                 X               3      67000      0       0
FORTUNE BRANDS
INC                  COMMON          349631101      544     11217 Shares                 X               1      11217      0       0
FORTUNE BRANDS
INC                  COMMON          349631101      304      6259 Shares                         X       1       6152      0     107
FRANCE TELECOM
SA-SPONS ADR         COMMON          35177Q105       48      2012 Shares                 X               1       2012      0       0
FRANCE TELECOM
SA-SPONS ADR         COMMON          35177Q105        2        68 Shares                         X       1          0      0      68
FRANKLIN
RESOURCES INC        COMMON          354613101       44       400 Shares                 X               1        400      0       0
FRANKLIN
RESOURCES INC        COMMON          354613101       11       100 Shares                         X       1        100      0       0
FREEPORT-MCMORAN
CPR & GLD INC        COMMON          35671D857     3126     37416 Shares                 X               1      37050      0     366
FREEPORT-MCMORAN
CPR & GLD INC        COMMON          35671D857      606      7256 Shares                         X       1       4936      0    2320
FREEPORT-MCMORAN
CPR & GLD INC        COMMON          35671D857     1143     13682 Shares                 X               3      13682      0       0
FRONTEER
DEVELOPMENT
GROUP INC            COMMON          35903Q106        3       500 Shares                 X               1        500      0       0
FRONTIER
COMMUNICATIONS
CORP                 COMMON          35906A108       61      8227 Shares                 X               1       8227      0       0
FRONTIER
COMMUNICATIONS
CORP                 COMMON          35906A108       11      1500 Shares                         X       1       1500      0       0
FULL HOUSE
RESORTS INC          COMMON          359678109        1       500 Shares                 X               1        500      0       0
FULTON FINANCIAL
CORP                 COMMON          360271100     1497    146786 Shares                 X               1     146786      0       0
FULTON FINANCIAL
CORP                 COMMON          360271100      344     33684 Shares                         X       1      31542   1800     342
FULTON FINANCIAL
CORP                 COMMON          360271100      102     10000 Shares                 X               3      10000      0       0
FULTON FINANCIAL
CORP                 COMMON          360271100     4001    392282 Shares           X                           392282      0       0
G-III APPAREL
GROUP                COMMON          36237H101       39      1400 Shares                 X               1       1400      0       0


                                    20 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
G-III APPAREL
GROUP                COMMON          36237H101     1047     38000 Shares                 X               3      38000      0       0
GSI COMMERCE INC     COMMON          36238G102       51      1850 Shares                 X               1       1850      0       0
GSI COMMERCE INC     COMMON          36238G102     1411     51000 Shares                 X               3      51000      0       0
GTC
BIOTHERAPEUTICS
INC                  COMMON          36238T203        8     15000 Shares                 X               1      15000      0       0
GABELLI EQUITY
TRUST                PREFERRED       362397101        8      1509 Shares                 X               1          0      0       0
GALLAGHER ARTHUR
J. & CO              COMMON          363576109       25      1000 Shares                 X               1       1000      0       0
GAMESTOP CORP
HLDG                 CLASS A         36467W109      622     28379 Shares                 X               1      27584      0     795
GAMESTOP CORP
HLDG                 CLASS A         36467W109        9       400 Shares                         X       1          0      0     400
GAMESTOP CORP
HLDG                 CLASS A         36467W109     2836    129444 Shares                 X               3     129444      0       0
GANNETT CO INC       COMMON          364730101       53      3209 Shares                 X               1       3209      0       0
GANNETT CO INC       COMMON          364730101       33      2000 Shares                         X       1       2000      0       0
GAP INC COM          COMMON          364760108       35      1500 Shares                 X               1       1500      0       0
GAP INC COM          COMMON          364760108       69      3000 Shares                         X       1       3000      0       0
GARDNER DENVER
INC                  COMMON          365558105       55      1250 Shares                 X               1       1250      0       0
GARDNER DENVER
INC                  COMMON          365558105     1519     34500 Shares                 X               3      34500      0       0
GENERAL AMERICAN
INVESTORS CO         PREFERRED       368802104       45      1829 Shares                 X               2          0      0       0
GENERAL
COMMUNICATIONS
INC CLA              COMMON          369385109        1       200 Shares                 X               2          0      0     200
GENERAL DYNAMICS
CORP COM             COMMON          369550108     2925     37886 Shares                 X               1      37886      0       0
GENERAL DYNAMICS
CORP COM             COMMON          369550108      791     10250 Shares                         X       1      10250      0       0
GENERAL DYNAMICS
CORP COM             COMMON          369550108       36       467 Shares                 X               2          0      0     467
GENERAL DYNAMICS
CORP COM             COMMON          369550108       39       500 Shares                 X               3        500      0       0
GENERAL ELECTRIC
COMPANY              COMMON          369604103    27424   1506787 Shares                 X               1    1484512      0   22275
GENERAL ELECTRIC
COMPANY              COMMON          369604103    25972   1427053 Shares                         X       1    1366126      0   60927
GENERAL ELECTRIC
COMPANY              COMMON          369604103    14117    775661 Shares                 X               2     190066      0  585595
GENERAL ELECTRIC
COMPANY              COMMON          369604103      799     43925 Shares                 X               3      33675      0   10250
GENERAL ELECTRIC
COMPANY              COMMON          369604103       10       550 Shares                 X               4        550      0       0
GENERAL ELECTRIC
COMPANY              COMMON          369604103       18      1000 Shares                         X       4       1000      0       0
GENERAL GROWTH
PPTYS INC            COMMON          370021107        3       193 Shares                 X               2          0      0       0
GENERAL MILLS INC    COMMON          370334104     4820     68088 Shares                 X               1      68088      0       0
GENERAL MILLS INC    COMMON          370334104     1890     26704 Shares                         X       1      26104      0     600
GENERAL MILLS INC    COMMON          370334104      142      2000 Shares                 X               2          0      0    2000
GENERAL MILLS INC    COMMON          370334104      135      1900 Shares                 X               3       1900      0       0
GENERAL MILLS INC    COMMON          370334104       11       150 Shares                 X               4        150      0       0
GENOPTIX INC         COMMON          37243V100       59      1650 Shares                 X               1       1650      0       0
GENOPTIX INC         COMMON          37243V100     1597     45000 Shares                 X               3      45000      0       0
GENUINE PARTS INC    COMMON          372460105       84      2000 Shares                 X               1       2000      0       0
GENUINE PARTS INC    COMMON          372460105      264      6250 Shares                         X       1       6250      0       0
GENZYME CORP COM     COMMON          372917104      899     17346 Shares                 X               1      16946      0     400
GENZYME CORP COM     COMMON          372917104      102      1960 Shares                         X       1       1960      0       0
GERON CORP           COMMON          374163103        2       300 Shares                 X               1        300      0       0
GIBRALTAR
INDUSTRIES INC       COMMON          374689107       32      2500 Shares                 X               1          0      0    2500
GILEAD SCIENCES
INC COM              COMMON          375558103     5797    127483 Shares                 X               1     127111      0     372
GILEAD SCIENCES
INC COM              COMMON          375558103      826     18157 Shares                         X       1      18057      0     100
GILEAD SCIENCES
INC COM              COMMON          375558103     2963     65157 Shares                 X               3      61162      0    3995
GLADSTONE
CAPITAL CORP         COMMON          376535100     4739    401575 Shares                 X               2     109565      0  292010
GLADSTONE
COMMERCIAL CORP      COMMON          376536108     5896    408043 Shares                 X               2          0      0       0
GLATFELTER           COMMON          377316104      364     25145 Shares                 X               1      25145      0       0
GLATFELTER           COMMON          377316104       17      1150 Shares                         X       1       1150      0       0
GLAXOSMITHKLINE
PLC ADR              COMMON          37733W105      792     20567 Shares                 X               1      20567      0       0
GLAXOSMITHKLINE
PLC ADR              COMMON          37733W105     1268     32913 Shares                         X       1      26335      0    6578


                                    21 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
GLAXOSMITHKLINE
PLC ADR              COMMON          37733W105       69      1800 Shares                 X               2          0      0    1800
GLOBAL PAYMENTS
INC                  COMMON          37940X102      304      6675 Shares                 X               1       6675      0       0
GLOBAL PAYMENTS
INC                  COMMON          37940X102     2976     65325 Shares                 X               3      65325      0       0
GOLD FIELDS
LIMITED ADR          COMMON          38059T106       10       825 Shares                 X               1        825      0       0
GOLDCORP INC         COMMON          380956409       40      1081 Shares                 X               1       1081      0       0
GOLDCORP INC         COMMON          380956409        1        28 Shares                         X       1         28      0       0
GOLDCORP INC         COMMON          380956409        6       160 Shares                 X               2          0      0     160
GOLDMAN SACHS
GROUP INC COM        COMMON          38141G104     8870     51985 Shares                 X               1      50927      0    1058
GOLDMAN SACHS
GROUP INC COM        COMMON          38141G104     1547      9064 Shares                         X       1       8204      0     860
GOLDMAN SACHS
GROUP INC COM        COMMON          38141G104       68       400 Shares                 X               2          0      0     400
GOLDMAN SACHS
GROUP INC COM        COMMON          38141G104     2295     13450 Shares                 X               3      12714      0     736
GOODRICH CORP        COMMON          382388106        7       100 Shares                 X               1        100      0       0
GOODRICH CORP        COMMON          382388106      769     10900 Shares                 X               3      10900      0       0
GOOGLE INC CL A      COMMON          38259P508     9593     16915 Shares                 X               1      16786      0     129
GOOGLE INC CL A      COMMON          38259P508      943      1663 Shares                         X       1       1268      0     395
GOOGLE INC CL A      COMMON          38259P508    18145     31994 Shares                 X               2      11623      0   20371
GOOGLE INC CL A      COMMON          38259P508     4549      8022 Shares                 X               3       7714      0     308
GOVERNMENT
PROPERTIES
INCOME T             COMMON          38376A103       18       700 Shares                         X       1          0      0       0
GOVERNMENT
PROPERTIES
INCOME T             COMMON          38376A103     3375    129752 Shares                 X               2      40600      0       0
GRACO INC            COMMON          384109104      175      5458 Shares                 X               1       5458      0       0
GRACO INC            COMMON          384109104       21       650 Shares                         X       1        650      0       0
GRACO INC            COMMON          384109104     1324     41361 Shares                 X               3      41361      0       0
GRAHAM PACKAGING
CO INC               COMMON          384701108       26      2100 Shares                 X               1       2100      0       0
W W GRAINGER INC
COM                  COMMON          384802104      600      5550 Shares                 X               1       5550      0       0
W W GRAINGER INC
COM                  COMMON          384802104      278      2575 Shares                         X       1       2575      0       0
W W GRAINGER INC
COM                  COMMON          384802104      108      1000 Shares                 X               2          0      0    1000
GREAT PLAINS
ENERGY INC           COMMON          391164100       14       770 Shares                 X               1        770      0       0
GREAT PLAINS
ENERGY INC           COMMON          391164100       16       850 Shares                         X       1        850      0       0
GREATER CHINA
FUND INC             PREFERRED       39167B102        2       150 Shares                         X       1          0      0       0
GREENBRIER COS
CONV  2.375%  5      OTHER           393657AD3      385    500000 Shares                 X               2          0      0       0
GREIF INC            CLASS A         397624107       29       525 Shares                 X               1        525      0       0
GREIF INC            CLASS A         397624107      824     15000 Shares                 X               3      15000      0       0
H&E EQUIPMENT
SERVICES INC         COMMON          404030108        4       394 Shares                 X               1        394      0       0
HCC INS HLDGS INC    COMMON          404132102      257      9322 Shares                 X               1       9322      0       0
HCC INS HLDGS INC    COMMON          404132102        8       300 Shares                         X       1        300      0       0
HCC INS HLDGS INC    COMMON          404132102     1808     65516 Shares                 X               3      65516      0       0
HCP INCORPORATED
REITS                COMMON          40414L109       61      1845 Shares                 X               1          0      0       0
HCP INCORPORATED
REITS                COMMON          40414L109        2        52 Shares                         X       1          0      0       0
HCP INCORPORATED
REITS                COMMON          40414L109      109      3316 Shares                 X               2          0      0       0
HDFC BANK
LIMITED - ADR        COMMON          40415F101        3        22 Shares                 X               1         22      0       0
HDFC BANK
LIMITED - ADR        COMMON          40415F101        1         8 Shares                         X       1          8      0       0
HMS HOLDINGS CORP    COMMON          40425J101       46       900 Shares                 X               1        900      0       0
HMS HOLDINGS CORP    COMMON          40425J101     1178     23100 Shares                 X               3      23100      0       0
HRPT PROPERTIES
TRUST (REIT)         COMMON          40426W101        9      1200 Shares                         X       1          0      0       0
HRPT PROPERTIES
PFD CONV 6.50%       PREFERRED       40426W507     3956    194400 Shares                 X               2      65400      0       0
HSBC HOLDINGS
PLC SPON ADR         COMMON          404280406       47       934 Shares                 X               1        934      0       0
HSBC HOLDINGS
PLC SPON ADR         COMMON          404280406       13       250 Shares                         X       1        250      0       0
HALLIBURTON HLDG
CO COM               COMMON          406216101      156      5167 Shares                 X               1       4067      0    1100
HALLIBURTON HLDG
CO COM               COMMON          406216101      230      7650 Shares                         X       1       7650      0       0
HAMPTON ROADS
BANKSHARES INC       COMMON          409321106        1       670 Shares                 X               2          0      0     670


                                    22 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
JOHN HANCOCK
BANK & THRIFT OPP    PREFERRED       409735206        8       500 Shares                 X               1          0      0       0
JOHN HANCOCK
BANK & THRIFT OPP    PREFERRED       409735206        7       404 Shares                 X               2          0      0       0
JOHN HANCOCK
PATR PREM DIV FD     PREFERRED       41013T105       53      5000 Shares                 X               2          0      0       0
JOHN HANCOCK PFD
INC FD II            PREFERRED       41013X106       19      1050 Shares                 X               1          0      0       0
HANESBRANDS INC      COMMON          410345102       17       600 Shares                         X       1        200      0     400
HARLEY-DAVIDSON
INC                  COMMON          412822108      214      7617 Shares                 X               1       7617      0       0
HARLEY-DAVIDSON
INC                  COMMON          412822108       95      3400 Shares                         X       1        200      0    3200
HARLEYSVILLE
NATIONAL CORP        COMMON          412850109        3       500 Shares                 X               1        500      0       0
HARRIS & HARRIS
GROUP INC            COMMON          413833104        0       100 Shares                 X               1        100      0       0
HARRIS CORP DEL      COMMON          413875105     3235     68111 Shares                 X               1      68111      0       0
HARRIS CORP DEL      COMMON          413875105      389      8195 Shares                         X       1       8195      0       0
HARRIS CORP DEL      COMMON          413875105      815     17162 Shares                 X               3      17162      0       0
HARRIS PFD
CAPITAL 7.375%
PFD                  PREFERRED       414567206       50      2000 Shares                 X               2          0      0       0
HARSCO CORP          COMMON          415864107     8506    266302 Shares                 X               1     262227      0    4075
HARSCO CORP          COMMON          415864107     2645     82806 Shares                         X       1      82806      0       0
HARSCO CORP          COMMON          415864107     1952     61129 Shares                 X               3      59129      0    2000
HARTE HANKS INC      COMMON          416196103       22      1675 Shares                 X               1       1675      0       0
HARTE HANKS INC      COMMON          416196103      592     46000 Shares                 X               3      46000      0       0
HARTFORD
FINANCIAL SVCS
GRP IN               COMMON          416515104      176      6199 Shares                 X               1       6199      0       0
HARTFORD
FINANCIAL SVCS
GRP IN               COMMON          416515104      135      4735 Shares                         X       1       3695      0    1040
HARTFORD
FINANCIAL SVCS
GRP IN               COMMON          416515104       35      1233 Shares                 X               2          0      0    1233
HARTFORD
FINANCIAL SVCS
GRP IN               COMMON          416515104        3       100 Shares                 X               4        100      0       0
HATTERAS
FINANCIAL CORP       COMMON          41902R103      260     10089 Shares                 X               1          0      0       0
HATTERAS
FINANCIAL CORP       COMMON          41902R103       72      2792 Shares                         X       1          0      0       0
HATTERAS
FINANCIAL CORP       COMMON          41902R103       26      1000 Shares                 X               2          0      0       0
HAYNES
INTERNATIONAL        COMMON          420877201       24       675 Shares                 X               1        675      0       0
HAYNES
INTERNATIONAL        COMMON          420877201      675     19000 Shares                 X               3      19000      0       0
HEALTHSOUTH CORP     COMMON          421924309       52      2800 Shares                 X               1       2800      0       0
HEALTHSOUTH CORP     COMMON          421924309     1431     76500 Shares                 X               3      76500      0       0
HEALTH
MANAGEMENT-CLASS
A                    COMMON          421933102        3       345 Shares                         X       1        345      0       0
HEALTHCARE
REALTY TRUST INC
(R                   COMMON          421946104      154      6600 Shares                 X               2          0      0       0
HEALTH CARE REIT
INC                  COMMON          42217K106       16       346 Shares                 X               1          0      0       0
HEALTH CARE REIT
INC                  COMMON          42217K106        1        20 Shares                         X       1          0      0       0
HEALTH CARE REIT
INC                  COMMON          42217K106      136      3000 Shares                 X               2          0      0       0
HECLA MNG CO COM     COMMON          422704106        2       350 Shares                 X               1        350      0       0
HEINZ H J CO COM     COMMON          423074103     1290     28273 Shares                 X               1      28273      0       0
HEINZ H J CO COM     COMMON          423074103      539     11825 Shares                         X       1      11735      0      90
HEINZ H J CO COM     COMMON          423074103       82      1800 Shares                 X               2          0      0    1800
HERCULES
TECHNOLOGY GROWTH    COMMON          427096508        9       812 Shares                 X               1        812      0       0
HERITAGE
FINANCIAL GROUP      COMMON          42725U109       36      3000 Shares                 X               2          0      0    3000
THE HERSHEY
COMPANY              COMMON          427866108     2949     68875 Shares                 X               1      66575      0    2300
THE HERSHEY
COMPANY              COMMON          427866108     1462     34142 Shares                         X       1      28442      0    5700
THE HERSHEY
COMPANY              COMMON          427866108       34       800 Shares                 X               2          0      0     800
THE HERSHEY
COMPANY              COMMON          427866108      174      4064 Shares                 X               3       2143      0    1921
HEWLETT-PACKARD
CO                   COMMON          428236103    12433    233927 Shares                 X               1     231695      0    2232
HEWLETT-PACKARD
CO                   COMMON          428236103     3145     59171 Shares                         X       1      52231      0    6940
HEWLETT-PACKARD
CO                   COMMON          428236103     3355     63132 Shares                 X               2      19700      0   43432
HEWLETT-PACKARD
CO                   COMMON          428236103     4288     80663 Shares                 X               3      76836      0    3827
HEWLETT-PACKARD
CO                   COMMON          428236103       13       237 Shares                 X               4        237      0       0
HEWLETT-PACKARD
CO                   COMMON          428236103      101      1900 Shares                         X       4       1900      0       0


                                    23 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
HHGREGG INC          COM             42833L108       47      1875 Shares                 X               1       1875      0       0
HHGREGG INC          COM             42833L108     1315     52075 Shares                 X               3      52075      0       0
HIGHWOODS
PROPERTIES (REIT)    COMMON          431284108        1        34 Shares                 X               1          0      0       0
HOLOGIC INC          COMMON          436440101     1370     73874 Shares                 X               1      73874      0       0
HOLOGIC INC          COMMON          436440101      222     11977 Shares                         X       1       6977      0    5000
HOLOGIC INC          COMMON          436440101     1914    103216 Shares                 X               3     103216      0       0
HOME DEPOT INC
COM                  COMMON          437076102     7322    226335 Shares                 X               1     222785      0    3550
HOME DEPOT INC
COM                  COMMON          437076102     2580     79743 Shares                         X       1      73218      0    6525
HOME DEPOT INC
COM                  COMMON          437076102     1161     35900 Shares                 X               2      21700      0   14200
HOME DEPOT INC
COM                  COMMON          437076102     2125     65677 Shares                 X               3      60122      0    5555
HOME DEPOT INC
COM                  COMMON          437076102        6       200 Shares                 X               4        200      0       0
HOME PROPERTIES
INC (REIT)           COMMON          437306103       57      1218 Shares                 X               1          0      0       0
HOME PROPERTIES
INC (REIT)           COMMON          437306103      117      2500 Shares                         X       1          0      0       0
HOME PROPERTIES
INC (REIT)           COMMON          437306103     7991    170739 Shares                 X               2      18325      0       0
HONDA MTR LTD
AMERN SHS            COMMON          438128308        2        52 Shares                 X               1         52      0       0
HONEYWELL INTL
INC COM              COMMON          438516106     1424     31461 Shares                 X               1      31461      0       0
HONEYWELL INTL
INC COM              COMMON          438516106     1462     32295 Shares                         X       1      32295      0       0
HONEYWELL INTL
INC COM              COMMON          438516106     1283     28342 Shares                 X               2       6324      0   22018
HONEYWELL INTL
INC COM              COMMON          438516106      138      3058 Shares                 X               3       3058      0       0
HONEYWELL INTL
INC COM              COMMON          438516106       14       300 Shares                 X               4        300      0       0
HONEYWELL INTL
INC COM              COMMON          438516106        9       200 Shares                         X       4        200      0       0
HOSPIRA INC          COMMON          441060100      179      3160 Shares                 X               1       3160      0       0
HOSPIRA INC          COMMON          441060100      112      1970 Shares                         X       1       1920      0      50
HOSPITALITY
PROPERTIES TRUST
(                    COMMON          44106M102       57      2400 Shares                 X               2          0      0       0
HOST HOTELS &
RESORTS INC          COMMON          44107P104        1        63 Shares                 X               1          0      0       0
HOST HOTELS &
RESORTS INC          COMMON          44107P104      179     12230 Shares                 X               2          0      0       0
HUANENG POWER
INTL-SPONS ADR       COMMON          443304100       28      1220 Shares                         X       1       1220      0       0
HUDSON
TECHNOLOGIES INC     COMMON          444144109        1       500 Shares                 X               1        500      0       0
HUGOTON ROYALTY
TRUST                COMMON          444717102        2       150 Shares                         X       1        150      0       0
HUMANA INC COM       COMMON          444859102       56      1200 Shares                 X               2          0      0    1200
HUMAN GENOME SCI     COMMON          444903108     1482     49089 Shares                 X               1      49089      0       0
HUMAN GENOME SCI     COMMON          444903108       24       800 Shares                         X       1        200      0     600
HUMAN GENOME SCI     COMMON          444903108       18       600 Shares                 X               2          0      0     600
HUMAN GENOME SCI     COMMON          444903108     4148    137351 Shares                 X               3     137351      0       0
J B HUNT
TRANSPORT
SERVICES IN          COMMON          445658107        5       150 Shares                 X               1        150      0       0
HUNTSMAN
CORPORATION          COMMON          447011107        1        77 Shares                 X               1         77      0       0
IAC/INTERACTIVECORP  COMMON          44919P508        2       104 Shares                 X               1        104      0       0
IESI-BFC LIMITED     COMMON          44951D108       69      4000 Shares                 X               2          0      0    4000
ING PRIME RATE TR    PREFERRED       44977W106       13      2000 Shares                         X       1          0      0       0
ING RISK MANAGED
NATURAL RES          PREFERRED       449810100       86      5000 Shares                         X       1          0      0       0
ING CLARION
GLOBAL R/E INCOME    PREFERRED       44982G104    13553   1792899 Shares                 X               1          0      0       0
ING CLARION
GLOBAL R/E INCOME    PREFERRED       44982G104     2069    273633 Shares                         X       1          0      0       0
ING CLARION
GLOBAL R/E INCOME    PREFERRED       44982G104     2718    359551 Shares                 X               3          0      0       0
ISTAR FINANCIAL
INC                  COMMON          45031U101      709    154545 Shares                 X               2      31145      0       0
ITT EDUCATIONAL
SVCS                 COMMON          45068B109      255      2269 Shares                 X               1       2269      0       0
ITT EDUCATIONAL
SVCS                 COMMON          45068B109     2160     19200 Shares                 X               3      19200      0       0
ITT CORP             COMMON          450911102       99      1842 Shares                 X               1       1842      0       0
ITT CORP             COMMON          450911102      195      3645 Shares                         X       1       2720      0     925
ITT CORP             COMMON          450911102       45       840 Shares                 X               2          0      0     840
ICONIX BRAND
GROUP                COMMON          451055107       42      2725 Shares                 X               1       2725      0       0


                                    24 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ICONIX BRAND
GROUP                COMMON          451055107     1152     75000 Shares                 X               3      75000      0       0
ILLINOIS TOOL
WKS INC COM          COMMON          452308109      834     17601 Shares                 X               1      17601      0       0
ILLINOIS TOOL
WKS INC COM          COMMON          452308109      736     15550 Shares                         X       1      15550      0       0
ILLINOIS TOOL
WKS INC COM          COMMON          452308109     1982     41840 Shares                 X               2       9600      0   32240
IMPERIAL OIL LTD     COMMON          453038408       97      2500 Shares                         X       1       2500      0       0
IMPERIAL OIL LTD     COMMON          453038408      105      2700 Shares                 X               2          0      0    2700
INCYTE
CORPORATION          COMMON          45337C102      198     14228 Shares                 X               1      14228      0       0
INCYTE
CORPORATION          COMMON          45337C102     1404    100562 Shares                 X               3     100562      0       0
INERGY LP            COMMON          456615103       34       910 Shares                 X               1        910      0       0
INERGY LP            COMMON          456615103      926     24500 Shares                 X               2          0      0   24500
INFORMATICA CORP     COMMON          45666Q102       51      1900 Shares                 X               1       1900      0       0
INFORMATICA CORP     COMMON          45666Q102     1397     52000 Shares                 X               3      52000      0       0
INFOSYS
TECHNOLOGIES
LTDSPON A            COMMON          456788108       63      1072 Shares                 X               1       1072      0       0
INFOSYS
TECHNOLOGIES
LTDSPON A            COMMON          456788108        3        52 Shares                         X       1         52      0       0
ING GROEP NV
SPONSORED ADR        COMMON          456837103        6       558 Shares                 X               1        558      0       0
ING GROEP NV
SPONSORED ADR        COMMON          456837103       13      1300 Shares                         X       1       1300      0       0
ING GROEP NV
SPONSORED ADR        COMMON          456837103        5       525 Shares                 X               2          0      0     525
ING GLOBAL
EQUITY DIV &
PREM O               PREFERRED       45684E107       80      6150 Shares                         X       1          0      0       0
INSIGHT
ENTERPRISES INC
COM                  COMMON          45765U103        1        85 Shares                 X               1         85      0       0
INOVIO
BIOMEDICAL CORP      COMMON          45773H102        0       250 Shares                 X               1        250      0       0
INSULET CORP         COMMON          45784P101       54      3575 Shares                 X               1       3575      0       0
INSULET CORP         COMMON          45784P101     1479     98000 Shares                 X               3      98000      0       0
INTEL CORP COM       COMMON          458140100    13358    599281 Shares                 X               1     595771      0    3510
INTEL CORP COM       COMMON          458140100     5318    238584 Shares                         X       1     212684      0   25900
INTEL CORP COM       COMMON          458140100      740     33179 Shares                 X               2      23416      0    9763
INTEL CORP COM       COMMON          458140100     2033     91309 Shares                 X               3      85854      0    5455
INTEL CORP COM       COMMON          458140100        9       400 Shares                 X               4        400      0       0
INTEGRYS ENERGY
GROUP INC            COMMON          45822P105       24       500 Shares                 X               1        500      0       0
INTEGRYS ENERGY
GROUP INC            COMMON          45822P105       17       350 Shares                         X       1        350      0       0
INTERACTIVE DATA
CORP COM             COMMON          45840J107        3        81 Shares                 X               1         81      0       0
INTERCONTINENTALEXCH COMMON          45865V100     1136     10124 Shares                 X               1       9994      0     130
INTERCONTINENTALEXCH COMMON          45865V100       34       305 Shares                         X       1        100      0     205
INTERCONTINENTALEXCH COMMON          45865V100     2924     26068 Shares                 X               3      26068      0       0
INTERDIGITAL INC     COMMON          45867G101       14       500 Shares                 X               1        500      0       0
INTERDIGITAL INC     COMMON          45867G101      362     13000 Shares                 X               2          0      0   13000
INTERMEC INC         COMMON          458786100        1        95 Shares                 X               1         95      0       0
INTERMUNE INC        COMMON          45884X103       40       900 Shares                 X               1        900      0       0
INTERMUNE INC        COMMON          45884X103     1092     24500 Shares                 X               3      24500      0       0
IBM CORPORATION      COMMON          459200101    36608    285439 Shares                 X               1     280899      0    4540
IBM CORPORATION      COMMON          459200101    15363    119791 Shares                         X       1     111856      0    7935
IBM CORPORATION      COMMON          459200101    15572    121419 Shares                 X               2      17927      0  103492
IBM CORPORATION      COMMON          459200101     4756     37082 Shares                 X               3      35376      0    1706
IBM CORPORATION      COMMON          459200101       26       200 Shares                 X               4        200      0       0
IBM CORPORATION      COMMON          459200101       64       500 Shares                         X       4        500      0       0
INTL FLAVORS &
FRAGRANCES INC       COMMON          459506101       33       700 Shares                 X               1        700      0       0
INTERNATIONAL
GAME TECH COM        COMMON          459902102        7       400 Shares                 X               1        400      0       0
INTERNATIONAL
GAME TECH COM        COMMON          459902102       55      3000 Shares                         X       1       3000      0       0
INTERNATIONAL
PAPER CO COM         COMMON          460146103      194      7884 Shares                 X               1       7884      0       0
INTERNATIONAL
PAPER CO COM         COMMON          460146103      115      4669 Shares                         X       1       2433      0    2236
INTERNATIONAL
RECTIFIER CORP       COMMON          460254105        2       100 Shares                         X       1        100      0       0


                                    25 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
INTERNATIONAL
SPEEDWAY CORP CL     COMMON          460335201        1        50 Shares                 X               1         50      0       0
INTUIT INC COM       COMMON          461202103       33       950 Shares                 X               1        950      0       0
INVACARE CORP COM    COMMON          461203101        5       200 Shares                 X               1        200      0       0
INTUITIVE SURGIC
INC                  COMMON          46120E602     6385     18341 Shares                 X               1      18192      0     149
INTUITIVE SURGIC
INC                  COMMON          46120E602      375      1076 Shares                         X       1       1031      0      45
INTUITIVE SURGIC
INC                  COMMON          46120E602       52       150 Shares                 X               2          0      0     150
INTUITIVE SURGIC
INC                  COMMON          46120E602     2378      6831 Shares                 X               3       6457      0     374
INTUITIVE SURGIC
INC                  COMMON          46120E602      244       700 Shares                         X       4        700      0       0
INTREPID POTASH
INC                  COMMON          46121Y102       38      1250 Shares                 X               1       1250      0       0
INTREPID POTASH
INC                  COMMON          46121Y102     1046     34500 Shares                 X               3      34500      0       0
INVERNESS MED
INNOVA               COMMON          46126P106      275      7064 Shares                 X               1       7064      0       0
INVERNESS MED
INNOVA               COMMON          46126P106     3328     85450 Shares                 X               3      85450      0       0
INVESTORS TITLE
COMPANY              COMMON          461804106       68      2000 Shares                 X               2          0      0    2000
BANK OF IRELAND
SPONSORED ADR        COMMON          46267Q103        1       100 Shares                 X               1        100      0       0
ISHARES COMEX
GOLD TRUST           PREFERRED       464285105       44       400 Shares                 X               1          0      0       0
ISHARES MSCI
BRAZIL INDEX FUND    PREFERRED       464286400      122      1650 Shares                 X               2          0      0       0
ISHARES MSCI
BRIC INDEX FUND      PREFERRED       464286657      412      8875 Shares                 X               2          0      0       0
ISHARES MSCI
PACIFIC EX-JAPAN     PREFERRED       464286665      359      8360 Shares                 X               2          0      0       0
ISHARES MSCI
SOUTH KOREA INDEX    COMMON          464286772       23       450 Shares                 X               2          0      0     450
ISHARES MSCI
JAPAN INDEX FD       PREFERRED       464286848       44      4200 Shares                 X               1          0      0       0
ISHARES MSCI
JAPAN INDEX FD       PREFERRED       464286848       34      3300 Shares                         X       1          0      0       0
ISHARES S&P 100
INDEX FUND           COMMON          464287101      110      2048 Shares                 X               2          0      0    2048
ISHARES DJ
SELECT DIVIDEND
IND                  PREFERRED       464287168       28       600 Shares                 X               1          0      0       0
ISHARES DJ
SELECT DIVIDEND
IND                  PREFERRED       464287168       12       250 Shares                         X       1          0      0       0
ISHARES BARCLAYS
TIPS BOND FD         PREFERRED       464287176        5        49 Shares                 X               1          0      0       0
ISHARES
FTSE/XINHUA
CHINA 25             PREFERRED       464287184        4       100 Shares                         X       1          0      0       0
ISHARES
FTSE/XINHUA
CHINA 25             PREFERRED       464287184       51      1200 Shares                 X               2          0      0       0
ISHARES DOW
JONES US TRANS
IND                  PREFERRED       464287192        5        60 Shares                 X               1          0      0       0
ISHARES S&P 500
INDEX FD             PREFERRED       464287200     4544     38727 Shares                 X               1          0      0       0
ISHARES S&P 500
INDEX FD             PREFERRED       464287200      911      7763 Shares                         X       1          0      0       0
ISHARES S&P 500
INDEX FD             PREFERRED       464287200       18       150 Shares                 X               2          0      0       0
ISHARES BARCLAYS
AGGREGATE BD         PREFERRED       464287226      635      6096 Shares                 X               1          0      0       0
ISHARES MSCI
EMERGING MARKETS     PREFERRED       464287234      175      4155 Shares                 X               1          0      0       0
ISHARES MSCI
EMERGING MARKETS     PREFERRED       464287234      182      4325 Shares                 X               2          0      0       0
ISHARES S&P
GLOBAL TECH SEC
IN                   COMMON          464287291        6       100 Shares                         X       1        100      0       0
ISHARES S&P
500/BARRA GRWTH
IN                   PREFERRED       464287309      740     12343 Shares                 X               1          0      0       0
ISHARES S&P
GLOBAL ENERGY
SECT                 PREFERRED       464287341      155      4390 Shares                 X               2          0      0       0
ISHARES S&P NA
NAT RES SIF          PREFERRED       464287374      410     11900 Shares                 X               2          0      0       0
ISHARES S&P 500
BARRA VALUE IN       COMMON          464287408      211      3737 Shares                 X               1       3737      0       0
ISHARES BARCLAYS
7-10 YRS TREA        PREFERRED       464287440       27       297 Shares                         X       1          0      0       0
ISHARES BARCLAYS
1-3 YR TREAS         PREFERRED       464287457       20       238 Shares                         X       1          0      0       0
ISHARES MSCI
EAFE INDEX FD        PREFERRED       464287465    21073    376440 Shares                 X               1          0      0       0
ISHARES MSCI
EAFE INDEX FD        PREFERRED       464287465     6232    111322 Shares                         X       1          0      0       0
ISHARES MSCI
EAFE INDEX FD        PREFERRED       464287465     1491     26641 Shares                 X               2          0      0       0
ISHARES MSCI
EAFE INDEX FD        PREFERRED       464287465     3263     58285 Shares                 X               3          0      0       0
ISHARES RUSSELL
MID CAP GROWTH       PREFERRED       464287481      115      2380 Shares                 X               2          0      0       0
ISHARES S&P
MIDCAP 400 INDEX
F                    PREFERRED       464287507       10       122 Shares                 X               1          0      0       0
ISHARES S&P
MIDCAP 400 INDEX
F                    PREFERRED       464287507      140      1782 Shares                 X               2          0      0       0
ISHARES S&P
MIDCAP 400 INDEX
F                    PREFERRED       464287507      194      2470 Shares                 X               3          0      0       0
ISHARES S&P NA
TECHNOLOGY SFI       PREFERRED       464287549        5        85 Shares                 X               2          0      0       0


                                    26 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ISHARES NASDAQ
BIOTECHNOLOGY I      PREFERRED       464287556       45       500 Shares                 X               2          0      0       0
ISHARES S&P
GLOBAL 100 INDEX
F                    PREFERRED       464287572       65      1075 Shares                 X               2          0      0       0
ISHARES TR           RUSSELL1000VAL  464287598    10203    167070 Shares                 X               1          0      0       0
ISHARES TR           RUSSELL1000VAL  464287598      924     15125 Shares                         X       1          0      0       0
ISHARES TR           RUSSELL1000VAL  464287598     3294     53930 Shares                 X               3      33450      0       0
ISHARES S&P
MIDCAP 400 BARRA
G                    PREFERRED       464287606      661      7788 Shares                 X               1          0      0       0
ISHARES S&P
MIDCAP 400 BARRA
G                    PREFERRED       464287606      759      8950 Shares                 X               2          0      0       0
ISHARES TR           RUSSELL1000GRW  464287614    17596    338702 Shares                 X               1          0      0       0
ISHARES TR           RUSSELL1000GRW  464287614     1379     26554 Shares                         X       1          0      0       0
ISHARES TR           RUSSELL1000GRW  464287614     6105    117504 Shares                 X               3      32450      0       0
ISHARES RUSSELL
1000 INDEX FD        PREFERRED       464287622     4272     66106 Shares                 X               1          0      0       0
ISHARES RUSSELL
1000 INDEX FD        PREFERRED       464287622      193      2990 Shares                         X       1          0      0       0
ISHARES RUSSELL
2000 VALUE           PREFERRED       464287630       75      1180 Shares                 X               2          0      0       0
ISHARES RUSSELL
2000 GRWTH FD        PREFERRED       464287648       22       300 Shares                 X               2          0      0       0
ISHARES RUSSELL
2000 INDEX FD        PREFERRED       464287655      879     12957 Shares                 X               1          0      0       0
ISHARES RUSSELL
2000 INDEX FD        PREFERRED       464287655       18       260 Shares                         X       1          0      0       0
ISHARES DOW
JONES US UTIL
SECT                 PREFERRED       464287697       32       445 Shares                 X               1          0      0       0
ISHARES S&P
MIDCAP 400/BARRA
V                    PREFERRED       464287705      444      6219 Shares                 X               1          0      0       0
ISHARES S&P
MIDCAP 400/BARRA
V                    PREFERRED       464287705      235      3300 Shares                 X               2          0      0       0
ISHARES DJ US
TECH SEC INDEX F     COMMON          464287721     4799     82194 Shares                 X               2      16343      0   65851
ISHARES DJ US
REAL ESTATE INDE     COMMON          464287739       15       300 Shares                 X               1        300      0       0
ISHARES DJ US
REAL ESTATE INDE     COMMON          464287739        5       100 Shares                 X               2          0      0     100
ISHARES DJ US
INDUSTRIAL SEC I     PREFERRED       464287754       12       200 Shares                 X               2          0      0       0
ISHARES DJ US
HEALTHCARE SECTO     COMMON          464287762        6        95 Shares                         X       1         95      0       0
ISHARES DJ US
HEALTHCARE SECTO     COMMON          464287762        7       100 Shares                 X               2          0      0     100
ISHARES DOW
JONES US FINL
SECT                 PREFERRED       464287788       19       340 Shares                 X               1          0      0       0
ISHARES DOW
JONES US FINL
SECT                 PREFERRED       464287788       40       705 Shares                         X       1          0      0       0
ISHARES DOW
JONES US FINL
SECT                 PREFERRED       464287788       16       275 Shares                 X               2          0      0       0
ISHARES DJ US
ENERGY SECTOR ID     COMMON          464287796       11       336 Shares                 X               2          0      0     336
ISHARES S&P
SMALLCAP 600
INDEX                PREFERRED       464287804     1095     18418 Shares                 X               1          0      0       0
ISHARES S&P
SMALLCAP 600
INDEX                PREFERRED       464287804       85      1426 Shares                 X               2          0      0       0
ISHARES S&P
SMALLCAP 600
INDEX                PREFERRED       464287804      194      3255 Shares                 X               3          0      0       0
ISHARES DJ US
BASIC MATERIALS      PREFERRED       464287838      111      1750 Shares                 X               1          0      0       0
ISHARES DJ US
BASIC MATERIALS      PREFERRED       464287838       48       750 Shares                         X       1          0      0       0
ISHARES S&P
EUROPE 350 INDEX
F                    PREFERRED       464287861      115      3000 Shares                         X       1          0      0       0
ISHARES S&P
EUROPE 350 INDEX
F                    PREFERRED       464287861      181      4710 Shares                 X               2          0      0       0
ISHARES S&P
SMALLCAP 600
BARRA                PREFERRED       464287887       40       653 Shares                 X               1          0      0       0
ISHARES IBOXX HI
YLD CORP BD F        PREFERRED       464288513       33       374 Shares                         X       1          0      0       0
ISHARES BARCLAYS
CREDIT BOND F        PREFERRED       464288620      387      3780 Shares                 X               1          0      0       0
ISHARES S&P US
PFD STK INDEX F      PREFERRED       464288687       39      1000 Shares                 X               1          0      0       0
ISHARES S&P
GLOBAL MATERIALS     PREFERRED       464288695       18       285 Shares                 X               2          0      0       0
ISHARES DJ US
HOME CONSTRUCT F     COMMON          464288752      195     14400 Shares                 X               2          0      0   14400
ISHARES DOW
JONES US BRKR-DLR    PREFERRED       464288794      673     23800 Shares                 X               1          0      0       0
ISHARES DOW
JONES US
HEALTHCAR            PREFERRED       464288828       68      1300 Shares                 X               2          0      0       0
ISHARES DOW
JONES US
PHARMACEU            PREFERRED       464288836      119      2000 Shares                 X               2          0      0       0
ISHARES DJ US
OIL EQUIP & SV       PREFERRED       464288844      185      4200 Shares                 X               2          0      0       0
ISHARES MSCI
EAFE GRWTH INDEX     PREFERRED       464288885     2121     37453 Shares                 X               1          0      0       0
ISHARES MSCI
EAFE GRWTH INDEX     PREFERRED       464288885      163      2878 Shares                         X       1          0      0       0
ISHARES S&P
INDIA NIFTY 50
IND                  PREFERRED       464289529       22       825 Shares                 X               2          0      0       0
ISHARES SILVER
TRUST                PREFERRED       46428Q109       51      3000 Shares                 X               2          0      0       0


                                    27 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ISHARES S&P GSCI
COMMODITY - I        PREFERRED       46428R107       28       900 Shares                 X               1          0      0       0
ISIS
PHARMACEUTICALS
COM                  COMMON          464330109        4       350 Shares                 X               1        350      0       0
ITAU UNIBANCO
HOLDING SA - PRE     COMMON          465562106        4       173 Shares                 X               1        173      0       0
ITAU UNIBANCO
HOLDING SA - PRE     COMMON          465562106        1        50 Shares                         X       1         50      0       0
IVANHOE MINES LTD    COMMON          46579N103        3       200 Shares                 X               1        200      0       0
J CREW GROUP         COMMON          46612H402       60      1300 Shares                 X               1       1300      0       0
J CREW GROUP         COMMON          46612H402     1629     35500 Shares                 X               3      35500      0       0
JDS UNIPHASE CORP    COMMON          46612J507        2       186 Shares                 X               2          0      0     186
JPMORGAN CHASE &
CO                   COMMON          46625H100    14211    317567 Shares                 X               1     314275      0    3292
JPMORGAN CHASE &
CO                   COMMON          46625H100     5720    127824 Shares                         X       1     116288      0   11536
JPMORGAN CHASE &
CO                   COMMON          46625H100     7765    173519 Shares                 X               2      52879      0  120640
JPMORGAN CHASE &
CO                   COMMON          46625H100      772     17245 Shares                 X               3      12861      0    4384
JABIL CIRCUIT INC    COMMON          466313103       16      1000 Shares                 X               1       1000      0       0
JABIL CIRCUIT INC    COMMON          466313103        2       105 Shares                         X       1        105      0       0
JP MORGAN CHASE
- WTS       10       COMMON          46634E114     6132    398950 Shares                 X               2          0      0  398950
JACOBS
ENGINEERING
GROUP INC C          COMMON          469814107      592     13100 Shares                 X               1      11500      0    1600
JACOBS
ENGINEERING
GROUP INC C          COMMON          469814107      195      4310 Shares                         X       1       4310      0       0
JANUS CAPITAL
GROUP                COMMON          47102X105     1077     75388 Shares                 X               1      75388      0       0
JANUS CAPITAL
GROUP                COMMON          47102X105     4498    314764 Shares                 X               3     314764      0       0
JETBLUE AIRWAYS
CORPORATION          COMMON          477143101        1       100 Shares                 X               1        100      0       0
JETBLUE AIRWAYS
CORPORATION          COMMON          477143101        5       843 Shares                 X               2          0      0     843
JOHNSON & JOHNSON    COMMON          478160104    27204    417235 Shares                 X               1     411635      0    5600
JOHNSON & JOHNSON    COMMON          478160104    28695    440106 Shares                         X       1     426010      0   14096
JOHNSON & JOHNSON    COMMON          478160104    10117    155154 Shares                 X               2      40652      0  114502
JOHNSON & JOHNSON    COMMON          478160104     2775     42560 Shares                 X               3      42560      0       0
JOHNSON & JOHNSON    COMMON          478160104       13       200 Shares                 X               4        200      0       0
JOHNSON & JOHNSON    COMMON          478160104       65      1000 Shares                         X       4       1000      0       0
JOHNSON CONTROLS
INC COM              COMMON          478366107      617     18711 Shares                 X               1      18711      0       0
JOHNSON CONTROLS
INC COM              COMMON          478366107      256      7750 Shares                         X       1       7750      0       0
JOY GLOBAL INC       COMMON          481165108     2221     39251 Shares                 X               1      38506      0     745
JOY GLOBAL INC       COMMON          481165108      514      9090 Shares                         X       1       8740      0     350
JOY GLOBAL INC       COMMON          481165108     3308     58450 Shares                 X               3      58450      0       0
JUNIPER NETWORKS
INC                  COMMON          48203R104      796     25936 Shares                 X               1      25868      0      68
JUNIPER NETWORKS
INC                  COMMON          48203R104      197      6427 Shares                         X       1       6427      0       0
KLA TENCOR CORP
COM                  COMMON          482480100       15       501 Shares                 X               1        501      0       0
KKR FINANCIAL
HOLDINGS LLC         COMMON          48248A306     4384    533972 Shares                 X               2      62565      0  471407
KT CORPORATION
SP ADR               COMMON          48268K101        1        41 Shares                 X               1         41      0       0
K V
PHARMACEUTICAL
CO CL A              COMMON          482740206        0        95 Shares                 X               1         95      0       0
KANSAS CITY
SOUTHERN             COMMON          485170302       46      1276 Shares                 X               1       1276      0       0
KANSAS CITY
SOUTHERN             COMMON          485170302     1238     34225 Shares                 X               3      34225      0       0
KAYDON CORP          COMMON          486587108        3        72 Shares                 X               1         72      0       0
KAYNE ANDERSON
MLP INVESTMENT       PREFERRED       486606106       19       714 Shares                 X               1          0      0       0
KELLOGG CO COM       COMMON          487836108     1051     19665 Shares                 X               1      19665      0       0
KELLOGG CO COM       COMMON          487836108      856     16022 Shares                         X       1      14825      0    1197
KELLOGG CO COM       COMMON          487836108      107      2000 Shares                 X               2          0      0    2000
KENNAMETAL INC       COMMON          489170100       63      2250 Shares                 X               1       2250      0       0
KENNAMETAL INC       COMMON          489170100     1572     55875 Shares                 X               3      55875      0       0
KEY ENERGY SVCS      COMMON          492914106       25      2575 Shares                 X               1       2575      0       0
KEY ENERGY SVCS      COMMON          492914106      669     70000 Shares                 X               3      70000      0       0
KEYCORP NEW COM      COMMON          493267108        8      1000 Shares                         X       1       1000      0       0


                                    28 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
KEYCORP NEW COM      COMMON          493267108       23      3000 Shares                 X               2          0      0    3000
KFORCE INC           COMMON          493732101       21      1396 Shares                 X               1       1396      0       0
KFORCE INC           COMMON          493732101      657     43200 Shares                 X               3      43200      0       0
KIMBERLY CLARK
CORP                 COMMON          494368103     4815     76581 Shares                 X               1      76581      0       0
KIMBERLY CLARK
CORP                 COMMON          494368103     2848     45291 Shares                         X       1      42077      0    3214
KIMBERLY CLARK
CORP                 COMMON          494368103      271      4312 Shares                 X               2          0      0    4312
KIMBERLY CLARK
CORP                 COMMON          494368103        6       100 Shares                 X               3        100      0       0
KIMBERLY CLARK
CORP                 COMMON          494368103        6       100 Shares                 X               4        100      0       0
KINDER MORGAN
ENERGY PARTNERS      COMMON          494550106      264      4030 Shares                 X               1       4030      0       0
KINDER MORGAN
ENERGY PARTNERS      COMMON          494550106       87      1335 Shares                         X       1       1335      0       0
KINDER MORGAN
ENERGY PARTNERS      COMMON          494550106    14184    216820 Shares                 X               2      38170      0  178650
KINDER MORGAN
MANAGEMENT LLC       COMMON          49455U100      432      7371 Shares                 X               1       7371      0       0
KINDER MORGAN
MANAGEMENT LLC       COMMON          49455U100       98      1670 Shares                         X       1       1670      0       0
KINDER MORGAN
MANAGEMENT LLC       COMMON          49455U100     5675     96806 Shares                 X               2      25625      0   71181
KINROSS GOLD
CORPORATION          COMMON          496902404        9       500 Shares                 X               1        500      0       0
KINROSS GOLD
CORPORATION          COMMON          496902404        5       300 Shares                 X               2          0      0     300
KITE REALTY
GROUP TRUST          COMMON          49803T102        1       149 Shares                 X               1          0      0       0
KNOLOGY INC          COMMON          499183804      345     25642 Shares                 X               2          0      0   25642
KOHLS CORP COM       COMMON          500255104      137      2500 Shares                 X               1       2500      0       0
KOHLS CORP COM       COMMON          500255104      151      2756 Shares                         X       1       2756      0       0
KOHLS CORP COM       COMMON          500255104       18       335 Shares                 X               3        335      0       0
KONINKLIJKE
PHILIPS ELEC N V
N                    COMMON          500472303       11       356 Shares                 X               1        356      0       0
KONINKLIJKE
PHILIPS ELEC N V
N                    COMMON          500472303      160      5000 Shares                         X       1       5000      0       0
KOPPERS HOLDINGS     COMMON          50060P106       27       950 Shares                 X               1        950      0       0
KOPPERS HOLDINGS     COMMON          50060P106      736     26000 Shares                 X               3      26000      0       0
KOREA ELECTRIC
POWER CORP SP A      COMMON          500631106        0        24 Shares                 X               1         24      0       0
KRAFT FOODS INC
CL A                 COMMON          50075N104     7379    244018 Shares                 X               1     242911      0    1107
KRAFT FOODS INC
CL A                 COMMON          50075N104     3163    104612 Shares                         X       1      98592      0    6020
KRAFT FOODS INC
CL A                 COMMON          50075N104     4898    161967 Shares                 X               2      20148      0  141819
KRAFT FOODS INC
CL A                 COMMON          50075N104      346     11430 Shares                 X               3       7874      0    3556
KRAFT FOODS INC
CL A                 COMMON          50075N104        3       100 Shares                 X               4        100      0       0
KRAFT FOODS INC
CL A                 COMMON          50075N104       18       600 Shares                         X       4        600      0       0
KROGER CO            COMMON          501044101      103      4736 Shares                 X               1       4736      0       0
KROGER CO            COMMON          501044101       15       674 Shares                         X       1        174      0     500
KROGER CO            COMMON          501044101        9       400 Shares                 X               4        400      0       0
KUBOTA
CORP-SPONS ADR       COMMON          501173207        2        46 Shares                 X               1         46      0       0
LKQ CORP             COMMON          501889208      276     13576 Shares                 X               1      13576      0       0
LKQ CORP             COMMON          501889208     2399    118200 Shares                 X               3     118200      0       0
LSI CORPORATION      COMMON          502161102        1       129 Shares                 X               1        129      0       0
LSI CORPORATION      COMMON          502161102        0        22 Shares                         X       1         14      0       8
L 3
COMMUNICATIONS
CORP COM             COMMON          502424104       23       250 Shares                         X       1        250      0       0
L 3
COMMUNICATIONS
CORP COM             COMMON          502424104      756      8250 Shares                 X               2          0      0    8250
LABORATORY CRP
OF AMER HLDGS C      COMMON          50540R409       47       618 Shares                 X               1        618      0       0
LABORATORY CRP
OF AMER HLDGS C      COMMON          50540R409        3        40 Shares                         X       1         40      0       0
LABORATORY CRP
OF AMER HLDGS C      COMMON          50540R409     8950    118205 Shares                 X               2      25460      0   92745
LADISH INC           COMMON          505754200       36      1792 Shares                 X               1       1792      0       0
LADISH INC           COMMON          505754200      978     48500 Shares                 X               3      48500      0       0
LAM RESEARCH CORP    COMMON          512807108      296      7941 Shares                 X               1       7941      0       0
LAM RESEARCH CORP    COMMON          512807108     2702     72400 Shares                 X               3      72400      0       0
LAS VEGAS SANDS
CORP                 COMMON          517834107        6       300 Shares                 X               1        300      0       0


                                    29 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
LASERCARD CORP       COMMON          51807U101        3       500 Shares                 X               2          0      0     500
LAUDER ESTEE CO
CL A                 COMMON          518439104     1197     18450 Shares                 X               1      17250      0    1200
LAUDER ESTEE CO
CL A                 COMMON          518439104      176      2720 Shares                         X       1       1770      0     950
LEGGETT & PLATT
INC                  COMMON          524660107      173      8000 Shares                 X               1       8000      0       0
LEGG MASON INC       COMMON          524901105      114      3975 Shares                 X               1       3975      0       0
LEGG MASON INC       COMMON          524901105       23       815 Shares                         X       1        815      0       0
LEGG MASON INC       COMMON          524901105       29      1000 Shares                 X               2          0      0    1000
LENDER
PROCESSING
SERVICES INC         COMMON          52602E102        0        13 Shares                         X       1         13      0       0
LENNOX INTL INC
COM                  COMMON          526107107        4        93 Shares                 X               1         93      0       0
LEUCADIA NATL
CORP COM             COMMON          527288104      231      9300 Shares                 X               1       9300      0       0
LEVEL 3
COMMUNICATIONS
INCORPORATED         COMMON          52729N100       73     45000 Shares                 X               2      45000      0       0
LIBERTY ALL STAR
EQUITY FD            PREFERRED       530158104      203     42912 Shares                         X       1          0      0       0
LIBERTY GLOBAL
INC - CL A           COMMON          530555101        6       213 Shares                 X               1        213      0       0
LIBERTY GLOBAL
INC - CL A           COMMON          530555101       44      1512 Shares                         X       1       1512      0       0
LIBERTY GLOBAL
INC-CL B             COMMON          530555200       27       936 Shares                         X       1        936      0       0
LIBERTY GLOBAL
INC CL C             COMMON          530555309        6       216 Shares                 X               1        216      0       0
LIBERTY GLOBAL
INC CL C             COMMON          530555309       71      2448 Shares                         X       1       2448      0       0
LIBERTY MEDIA
HLDG CORP - INTE     COMMON          53071M104       54      3500 Shares                 X               1       3500      0       0
LIBERTY MEDIA
HLDG CORP - INTE     COMMON          53071M104      105      6840 Shares                         X       1       6840      0       0
LIBERTY MEDIA
HLDG CORP - INTE     COMMON          53071M203       71      4680 Shares                         X       1       4680      0       0
LIBERTY MEDIA
HLDG CORP - CAP      COMMON          53071M302       21       584 Shares                 X               1        584      0       0
LIBERTY MEDIA
HLDG CORP - CAP      COMMON          53071M302       50      1368 Shares                         X       1       1368      0       0
LIBERTY MEDIA
HLDG CORP - CAP      COMMON          53071M401       34       936 Shares                         X       1        936      0       0
LIBERTY MEDIA -
STARZ SR A           COMMON          53071M708       19       353 Shares                 X               1        353      0       0
LIBERTY MEDIA -
STARZ SR A           COMMON          53071M708       26       480 Shares                         X       1        480      0       0
LIBERTY PROPERTY
TRUST (REIT)         COMMON          531172104       27       800 Shares                 X               2          0      0       0
LIFE TIME FITNESS    COMMON          53217R207       34      1225 Shares                 X               1       1225      0       0
LIFE TIME FITNESS    COMMON          53217R207      984     35000 Shares                 X               3      35000      0       0
LIFE TECHNOLOGIES    COMMON          53217V109      254      4856 Shares                 X               1       4856      0       0
LIFE TECHNOLOGIES    COMMON          53217V109       42       800 Shares                         X       1          0      0     800
LIFE TECHNOLOGIES    COMMON          53217V109     2045     39116 Shares                 X               3      39116      0       0
LILLY ELI & CO       COMMON          532457108     2786     76932 Shares                 X               1      76932      0       0
LILLY ELI & CO       COMMON          532457108     3454     95358 Shares                         X       1      93021   1600     737
LILLY ELI & CO       COMMON          532457108      261      7200 Shares                 X               2          0      0    7200
LILLY ELI & CO       COMMON          532457108      253      6985 Shares                 X               3       5318      0    1667
LILLY ELI & CO       COMMON          532457108        4       100 Shares                 X               4        100      0       0
LINCOLN NATIONAL
CORP                 COMMON          534187109       85      2775 Shares                 X               1       2775      0       0
LINCOLN NATIONAL
CORP                 COMMON          534187109       64      2092 Shares                         X       1       2092      0       0
LINCOLN NATIONAL
CORP                 COMMON          534187109      126      4100 Shares                 X               2          0      0    4100
LINEAR
TECHNOLOGY CORP
COM                  COMMON          535678106      156      5530 Shares                 X               1       4780      0     750
LINEAR
TECHNOLOGY CORP
COM                  COMMON          535678106       53      1865 Shares                         X       1        525      0    1340
LIONS GATE
ENTERTAINMENT
CORP.                COMMON          535919203        1       130 Shares                 X               1        130      0       0
LINN ENERGY LLC      COMMON          536020100       60      2315 Shares                 X               1       2315      0       0
LITHIA MOTORS
INC CL-A             COMMON          536797103        0        60 Shares                 X               1         60      0       0
LOCKHEED MARTIN
CORPORATION CO       COMMON          539830109     6921     83171 Shares                 X               1      83071      0     100
LOCKHEED MARTIN
CORPORATION CO       COMMON          539830109     1420     17061 Shares                         X       1      16761      0     300
LOCKHEED MARTIN
CORPORATION CO       COMMON          539830109      982     11798 Shares                 X               2          0      0   11798
LOCKHEED MARTIN
CORPORATION CO       COMMON          539830109       51       615 Shares                 X               3        615      0       0
LOCKHEED MARTIN
CORPORATION CO       COMMON          539830109        8       100 Shares                 X               4        100      0       0
LOCKHEED MARTIN
CORPORATION CO       COMMON          539830109       54       650 Shares                         X       4        650      0       0


                                    30 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
LOEWS CORP           COMMON          540424108      101      2700 Shares                 X               1       2700      0       0
LOEWS CORP           COMMON          540424108       83      2232 Shares                         X       1       2232      0       0
LOEWS CORP           COMMON          540424108      134      3600 Shares                 X               2          0      0    3600
LORILLARD INC        COMMON          544147101       15       195 Shares                 X               1        195      0       0
LORILLARD INC        COMMON          544147101        1        10 Shares                         X       1          0      0      10
LOWES COMPANIES
INC                  COMMON          548661107     3949    162906 Shares                 X               1     158224      0    4682
LOWES COMPANIES
INC                  COMMON          548661107      542     22341 Shares                         X       1      19091      0    3250
LOWES COMPANIES
INC                  COMMON          548661107      137      5670 Shares                 X               3       2757      0    2913
LUBRIZOL CORP        COMMON          549271104       43       468 Shares                 X               1        468      0       0
LUBRIZOL CORP        COMMON          549271104     1021     11130 Shares                         X       1      11130      0       0
LULULEMON
ATHLETICA            COMMON          550021109      954     23001 Shares                 X               1      23001      0       0
LULULEMON
ATHLETICA            COMMON          550021109     6163    148487 Shares                 X               3     148487      0       0
M & T BANK CORP      COMMON          55261F104   117346   1478276 Shares                 X               1    1443506      0   34770
M & T BANK CORP      COMMON          55261F104    11091    139719 Shares                         X       1      12744      0  126975
M & T BANK CORP      COMMON          55261F104       12       150 Shares                 X               2          0      0     150
M & T BANK CORP      COMMON          55261F104       12       150 Shares                         X       4        150      0       0
MDC HOLDINGS INC     COMMON          552676108        7       202 Shares                 X               1        202      0       0
MEMC ELECTRONIC
MATERIALS INC        COMMON          552715104       30      1955 Shares                 X               1       1955      0       0
MEMC ELECTRONIC
MATERIALS INC        COMMON          552715104        3       175 Shares                         X       1        175      0       0
MFA FINANCIAL INC    COMMON          55272X102      416     56500 Shares                 X               2      24000      0       0
MFS MUN INCOME
TR SH BEN INT        OTHER           552738106       18      2600 Shares                 X               2          0      0       0
MKS INSTRUMENT
INC                  COMMON          55306N104      159      8093 Shares                 X               1       8093      0       0
MKS INSTRUMENT
INC                  COMMON          55306N104     1440     73500 Shares                 X               3      73500      0       0
MYR GROUP INC DEL    COM             55405W104       16      1000 Shares                 X               1       1000      0       0
MYR GROUP INC DEL    COM             55405W104      473     29000 Shares                 X               3      29000      0       0
MACY'S INC           COMMON          55616P104       82      3756 Shares                 X               1       3756      0       0
MACY'S INC           COMMON          55616P104       21       942 Shares                         X       1        942      0       0
MACY'S INC           COMMON          55616P104      219     10042 Shares                 X               2      10000      0      42
MAGELLAN
MIDSTREAM
PARTNERS L.          COMMON          559080106       10       200 Shares                 X               1        200      0       0
MAGELLAN
MIDSTREAM
PARTNERS L.          COMMON          559080106       24       500 Shares                         X       1        500      0       0
MAGELLAN
MIDSTREAM
PARTNERS L.          COMMON          559080106     8214    172800 Shares                 X               2      22250      0  150550
MAGNA
INTERNATIONAL -
CL A                 COMMON          559222401       25       400 Shares                         X       1        400      0       0
MAIDENFORM BRANDS    COMMON          560305104       29      1325 Shares                 X               1       1325      0       0
MAIDENFORM BRANDS    COMMON          560305104      787     36000 Shares                 X               3      36000      0       0
MAKO SURGICAL
CORP                 COMMON          560879108       19      1375 Shares                 X               1       1375      0       0
MAKO SURGICAL
CORP                 COMMON          560879108      805     59700 Shares                 X               3      59700      0       0
MANITOWOC INC        COMMON          563571108     1388    106796 Shares                 X               1     106796      0       0
MANITOWOC INC        COMMON          563571108     1745    134203 Shares                 X               3     134203      0       0
MANPOWER INC WIS     COMMON          56418H100       86      1500 Shares                 X               1       1500      0       0
MANULIFE
FINANCIAL CORP       COMMON          56501R106      700     35572 Shares                 X               1      35572      0       0
MANULIFE
FINANCIAL CORP       COMMON          56501R106       37      1894 Shares                         X       1       1894      0       0
MANULIFE
FINANCIAL CORP       COMMON          56501R106      504     25600 Shares                 X               2          0      0   25600
MAP
PHARMACEUTICALS      INC COM         56509R108      205     12910 Shares                 X               1      12910      0       0
MAP
PHARMACEUTICALS      INC COM         56509R108     3227    203100 Shares                 X               3     203100      0       0
MARATHON OIL CORP    COMMON          565849106      644     20359 Shares                 X               1      20359      0       0
MARATHON OIL CORP    COMMON          565849106      171      5420 Shares                         X       1       5195      0     225
MARATHON OIL CORP    COMMON          565849106        6       180 Shares                 X               3        180      0       0
MARATHON OIL CORP    COMMON          565849106       23       725 Shares                 X               4        725      0       0
MARKEL CORP COM      COMMON          570535104      137       366 Shares                 X               1        366      0       0
MARKEL CORP COM      COMMON          570535104       82       218 Shares                         X       1        218      0       0


                                    31 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
MARKEL CORP COM      COMMON          570535104     4400     11745 Shares                 X               2       2470      0    9275
MARKET VECTORS
GOLD MINERS          PREFERRED       57060U100       21       475 Shares                         X       1          0      0       0
MARKET VECTORS
AGRIBUSINESS ET      PREFERRED       57060U605       17       375 Shares                 X               1          0      0       0
MARKET VECTORS
AGRIBUSINESS ET      PREFERRED       57060U605       18       400 Shares                 X               2          0      0       0
MARKWEST ENERGY
PARTNERS LP          COMMON          570759100        6       200 Shares                         X       1        200      0       0
MARKWEST ENERGY
PARTNERS LP          COMMON          570759100       46      1500 Shares                 X               2          0      0    1500
MARSH & MCLENNAN
COS INC COM          COMMON          571748102      198      8100 Shares                         X       1       8100      0       0
MARSHALL &
ILSLEY CORP          COMMON          571837103        9      1086 Shares                 X               1       1086      0       0
MARSHALL &
ILSLEY CORP          COMMON          571837103       29      3600 Shares                 X               3       3600      0       0
MARRIOTT INTL
INC CL A             COMMON          571903202       41      1311 Shares                 X               1       1311      0       0
MARRIOTT INTL
INC CL A             COMMON          571903202        8       250 Shares                         X       1        250      0       0
MARRIOTT INTL
INC CL A             COMMON          571903202      978     31014 Shares                 X               2          0      0   31014
MARTIN MARIETTA
MATERIALS INC        COMMON          573284106       87      1039 Shares                 X               1       1039      0       0
MASCO CORP           COMMON          574599106       89      5717 Shares                 X               1       5717      0       0
MASCO CORP           COMMON          574599106       74      4769 Shares                         X       1       4769      0       0
MASSEY ENERGY CO
COM                  COMMON          576206106       27       523 Shares                 X               1        523      0       0
MASSEY ENERGY CO
COM                  COMMON          576206106       78      1500 Shares                         X       1       1500      0       0
MASTERCARD INC
CL A                 COMMON          57636Q104     1927      7585 Shares                 X               1       7575      0      10
MASTERCARD INC
CL A                 COMMON          57636Q104      224       881 Shares                         X       1        881      0       0
MASTERCARD INC
CL A                 COMMON          57636Q104      525      2065 Shares                 X               2       1110      0     955
MASTERCARD INC
CL A                 COMMON          57636Q104     1408      5546 Shares                 X               3       5546      0       0
MATTEL INC           COMMON          577081102       18       796 Shares                 X               1        796      0       0
MATTEL INC           COMMON          577081102       36      1592 Shares                         X       1       1592      0       0
MAXIM INTEGRATED
PRODS INC COM        COMMON          57772K101       11       570 Shares                 X               1        570      0       0
MCAFEE INC           COMMON          579064106      372      9266 Shares                 X               1       9266      0       0
MCAFEE INC           COMMON          579064106     3271     81500 Shares                 X               3      81500      0       0
MCCORMICK &
CO-NON VTG SHS       COMMON          579780206     1886     49155 Shares                 X               1      49155      0       0
MCCORMICK &
CO-NON VTG SHS       COMMON          579780206      547     14250 Shares                         X       1      14250      0       0
MCCORMICK &
CO-NON VTG SHS       COMMON          579780206       38      1000 Shares                 X               3       1000      0       0
MCDERMOTT INTL
INC                  COMMON          580037109     2835    105328 Shares                 X               1     104878      0     450
MCDERMOTT INTL
INC                  COMMON          580037109       29      1075 Shares                         X       1        775      0     300
MCDERMOTT INTL
INC                  COMMON          580037109       75      2800 Shares                 X               2          0      0    2800
MCDERMOTT INTL
INC                  COMMON          580037109     4494    166932 Shares                 X               3     164506      0    2426
MCDONALD'S
CORPORATION          COMMON          580135101    10340    154974 Shares                 X               1     154599      0     375
MCDONALD'S
CORPORATION          COMMON          580135101     3058     45829 Shares                         X       1      42793      0    3036
MCDONALD'S
CORPORATION          COMMON          580135101     2438     36538 Shares                 X               2       6469      0   30069
MCDONALD'S
CORPORATION          COMMON          580135101     2048     30698 Shares                 X               3      29254      0    1444
MCDONALD'S
CORPORATION          COMMON          580135101       20       300 Shares                 X               4        300      0       0
MCDONALD'S
CORPORATION          COMMON          580135101      100      1500 Shares                         X       4       1500      0       0
MC GRAW HILL
COMPANIES INC        COMMON          580645109      384     10782 Shares                 X               1      10782      0       0
MC GRAW HILL
COMPANIES INC        COMMON          580645109      688     19295 Shares                         X       1      14895      0    4400
MCKESSON
CORPORATION COM      COMMON          58155Q103      700     10653 Shares                 X               1      10653      0       0
MCKESSON
CORPORATION COM      COMMON          58155Q103       38       578 Shares                         X       1        428      0     150
MCKESSON
CORPORATION COM      COMMON          58155Q103       69      1045 Shares                 X               3        425      0     620
MEAD JOHNSON
NUTRITION CO         COMMON          582839106      973     18700 Shares                 X               2          0      0   18700
MEDASSETS INC        COMMON          584045108       57      2725 Shares                 X               1       2725      0       0
MEDASSETS INC        COMMON          584045108     1565     74500 Shares                 X               3      74500      0       0
MEDCO HEALTH
SOLUTIONS INC        COMMON          58405U102     2838     43966 Shares                 X               1      43966      0       0
MEDCO HEALTH
SOLUTIONS INC        COMMON          58405U102     2429     37622 Shares                         X       1      32910      0    4712
MEDCO HEALTH
SOLUTIONS INC        COMMON          58405U102      156      2412 Shares                 X               2          0      0    2412


                                    32 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
MEDCO HEALTH
SOLUTIONS INC        COMMON          58405U102     1899     29424 Shares                 X               3      29424      0       0
MEDCO HEALTH
SOLUTIONS INC        COMMON          58405U102        3        48 Shares                 X               4         48      0       0
MEDIA GEN INC CL
A                    COMMON          584404107        3       400 Shares                 X               2          0      0     400
MEDNAX INC           COMMON          58502B106        2        30 Shares                 X               1         30      0       0
MEDTRONIC INC        COMMON          585055106     3276     72741 Shares                 X               1      72541      0     200
MEDTRONIC INC        COMMON          585055106     2495     55397 Shares                         X       1      52247      0    3150
MEDTRONIC INC        COMMON          585055106     8486    188440 Shares                 X               2      75697      0  112743
MEDTRONIC INC        COMMON          585055106     1183     26269 Shares                 X               3      26269      0       0
MERCK & CO INC       COMMON          58933Y105    13298    356047 Shares                 X               1     355622      0     425
MERCK & CO INC       COMMON          58933Y105     5806    155461 Shares                         X       1     144203      0   11258
MERCK & CO INC       COMMON          58933Y105    11920    319154 Shares                 X               2      65061      0  254093
MERCK & CO INC       COMMON          58933Y105     4640    124207 Shares                 X               3     121662      0    2545
MERCK & CO INC       COMMON          58933Y105        7       200 Shares                 X               4        200      0       0
MERCK 6.0% CV PFD    CONV PFD STOCK  58933Y204      821      3230 Shares                 X               2       3230      0       0
MERIT MED SYS INC    COMMON          589889104        2       135 Shares                 X               1        135      0       0
METALICO INC         COMMON          591176102       29      4800 Shares                 X               1       4800      0       0
METALICO INC         COMMON          591176102      788    131500 Shares                 X               3     131500      0       0
METLIFE INC          COMMON          59156R108     3532     81485 Shares                 X               1      80485      0    1000
METLIFE INC          COMMON          59156R108      286      6590 Shares                         X       1       3280      0    3310
METLIFE INC          COMMON          59156R108     2102     48517 Shares                 X               3      46980      0    1537
METROPOLITAN
HEALTH NETWORKS I    COMMON          592142103        2       500 Shares                 X               1        500      0       0
MICROSOFT CORP       COMMON          594918104    22618    772270 Shares                 X               1     761379      0   10891
MICROSOFT CORP       COMMON          594918104     7786    265849 Shares                         X       1     237928      0   27921
MICROSOFT CORP       COMMON          594918104     1145     39100 Shares                 X               2      31800      0    7300
MICROSOFT CORP       COMMON          594918104     6387    218197 Shares                 X               3     210208      0    7989
MICROSOFT CORP       COMMON          594918104       26       900 Shares                 X               4        900      0       0
MICROSOFT CORP       COMMON          594918104       44      1500 Shares                         X       4       1500      0       0
MICROSTRATEGY INC    COMMON          594972408        2        27 Shares                 X               2          0      0      27
MICROCHIP
TECHNOLOGY INC
COM                  COMMON          595017104      178      6325 Shares                 X               1       6325      0       0
MICROCHIP
TECHNOLOGY INC
COM                  COMMON          595017104       28      1000 Shares                         X       1       1000      0       0
MID-AMERICA
APARTMENT
COMMUNIT             COMMON          59522J103       78      1500 Shares                 X               2          0      0       0
MID PENN BANCORP
INCORPORATED         COMMON          59540G107       23      2297 Shares                 X               1       2297      0       0
MILLIPORE CORP
COM                  COMMON          601073109        2        15 Shares                 X               1         15      0       0
MINDSPEED TECH       COMMON          602682205       46      5775 Shares                 X               1       5775      0       0
MINDSPEED TECH       COMMON          602682205     1258    157000 Shares                 X               3     157000      0       0
MOLEX INC            COMMON          608554101       63      3000 Shares                 X               1       3000      0       0
MOLSON COORS
BREWING COMPANY      COMMON          60871R209        1        23 Shares                 X               1         23      0       0
MOLSON COORS
BREWING COMPANY      COMMON          60871R209       25       600 Shares                         X       1        600      0       0
MONSANTO CO          COMMON          61166W101     3218     45053 Shares                 X               1      45039      0      14
MONSANTO CO          COMMON          61166W101     1027     14378 Shares                         X       1      13748      0     630
MONSANTO CO          COMMON          61166W101     1748     24475 Shares                 X               2       7400      0   17075
MONSANTO CO          COMMON          61166W101     2658     37223 Shares                 X               3      36480      0     743
MONTGOMERY ST
INCOME SECS INC      PREFERRED       614115103       72      4653 Shares                 X               1          0      0       0
MOODYS CORP          COMMON          615369105      168      5637 Shares                 X               1       5637      0       0
MOODYS CORP          COMMON          615369105       58      1950 Shares                         X       1       1950      0       0
MORGAN STANLEY
GROUP INC            COMMON          617446448     1680     57356 Shares                 X               1      57356      0       0
MORGAN STANLEY
GROUP INC            COMMON          617446448      367     12535 Shares                         X       1      12023      0     512
MORGAN STANLEY
GROUP INC            COMMON          617446448      176      5998 Shares                 X               3       3192      0    2806
MORGAN STANLEY
EMERGING MKTS D      PREFERRED       61744H105       42      4000 Shares                         X       1          0      0       0
MORGAN STANLEY
HIGH YLD FD INC      PREFERRED       61744M104        2       300 Shares                 X               1          0      0       0


                                    33 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
MORGAN STANLEY
QUALITY MUNI IN      PREFERRED       61745P668       22      1708 Shares                         X       1          0      0       0
MORGAN STAN DEAN
QUALITY MUN I        PREFERRED       61745P734       18      1413 Shares                         X       1          0      0       0
MORGAN STANLEY
INSD MUNI INCOM      PREFERRED       61745P791       39      2814 Shares                         X       1          0      0       0
MOSAIC CO            COMMON          61945A107     3629     59714 Shares                 X               1      59514      0     200
MOSAIC CO            COMMON          61945A107      140      2310 Shares                         X       1       1860      0     450
MOSAIC CO            COMMON          61945A107     4722     77700 Shares                 X               2      25450      0   52250
MOSAIC CO            COMMON          61945A107     2621     43127 Shares                 X               3      41462      0    1665
MOSAIC CO            COMMON          61945A107       76      1250 Shares                         X       4       1250      0       0
MOTOROLA INC         COMMON          620076109      151     21501 Shares                 X               1      21501      0       0
MOTOROLA INC         COMMON          620076109      267     37990 Shares                         X       1      37990      0       0
MOTOROLA INC         COMMON          620076109        1       150 Shares                 X               4        150      0       0
MURPHY OIL CORP      COMMON          626717102       42       750 Shares                 X               1        750      0       0
MURPHY OIL CORP      COMMON          626717102       84      1500 Shares                         X       1       1500      0       0
MURPHY OIL CORP      COMMON          626717102       56      1000 Shares                 X               2          0      0    1000
MYLAN INC            COMMON          628530107       15       655 Shares                 X               1        655      0       0
MYLAN INC- PFD
CONV 6.5% 11/15      PREFERRED       628530206       68        50 Shares                 X               2          0      0       0
MYRIAD GENETICS
INC                  COMMON          62855J104      109      4540 Shares                 X               1       4540      0       0
MYRIAD
PHARMACEUTICALS
INC                  COMMON          62856H107        0        75 Shares                 X               1         75      0       0
NBT BANCORP
INC.  COM            COMMON          628778102      113      4920 Shares                 X               1       4920      0       0
NCR CORP             COMMON          62886E108        2       150 Shares                 X               1        150      0       0
NCR CORP             COMMON          62886E108        9       674 Shares                         X       1        658      0      16
NII HOLDINGS
INC-CL B             COMMON          62913F201       13       300 Shares                 X               1        300      0       0
NTT DOCOMO INC
SPONSORED ADR        COMMON          62942M201        1        81 Shares                 X               1         81      0       0
NVR INC              COMMON          62944T105      203       279 Shares                 X               1        279      0       0
NYSE EURONEXT        COMMON          629491101        1        50 Shares                 X               1         50      0       0
NASDAQ OMX GROUP     COMMON          631103108        4       200 Shares                 X               1        200      0       0
NATL FUEL GAS CO     COMMON          636180101       45       900 Shares                         X       1        900      0       0
NATIONAL GRID
GROUP PLC-ADR        COMMON          636274300       15       313 Shares                 X               1        313      0       0
NATIONAL GRID
GROUP PLC-ADR        COMMON          636274300        6       118 Shares                         X       1        118      0       0
NATIONAL OILWELL
VAR                  COMMON          637071101     2603     64155 Shares                 X               1      63130      0    1025
NATIONAL OILWELL
VAR                  COMMON          637071101      184      4530 Shares                         X       1       1090      0    3440
NATIONAL OILWELL
VAR                  COMMON          637071101     1925     47440 Shares                 X               2      20440      0   27000
NATIONAL OILWELL
VAR                  COMMON          637071101     2783     68574 Shares                 X               3      68574      0       0
NATIONAL PENN
BANCSHARES INC       COMMON          637138108       19      2815 Shares                 X               1       2815      0       0
NATIONAL PENN
BANCSHARES INC       COMMON          637138108       55      8041 Shares                         X       1       8041      0       0
NATIONAL
SEMICONDUCTOR
CORP CO              COMMON          637640103       12       850 Shares                 X               1        850      0       0
NATIONAL
SEMICONDUCTOR
CORP CO              COMMON          637640103       35      2390 Shares                         X       1       2390      0       0
NATIONWIDE
HEALTH
PROPERTIES (         COMMON          638620104       17       482 Shares                 X               1          0      0       0
NATIONWIDE
HEALTH
PROPERTIES (         COMMON          638620104        1        26 Shares                         X       1          0      0       0
NAVISTAR
INTERNATIONAL
CORP                 COMMON          63934E108        4       100 Shares                 X               1        100      0       0
NEENAH PAPER INC     COMMON          640079109       15       964 Shares                 X               1        964      0       0
NET 1 UEPS
TECHNOLOGIES INC     COMMON          64107N206        1        75 Shares                 X               1         75      0       0
NETAPP INC           COMMON          64110D104       90      2759 Shares                 X               1       2759      0       0
NETAPP INC           COMMON          64110D104        2        58 Shares                         X       1         58      0       0
NETFLIX INC          COMMON          64110L106       50       675 Shares                 X               1        675      0       0
NETFLIX INC          COMMON          64110L106      959     13000 Shares                 X               3      13000      0       0
NETGEAR INC          COMMON          64111Q104        1        55 Shares                 X               1         55      0       0
NEUROCRINE
BIOSCIENCES INC      COMMON          64125C109        1       500 Shares                         X       1          0      0     500
NEW JERSEY
RESOURCES CORP       COMMON          646025106        6       148 Shares                         X       1        148      0       0
NEW ORIENTAL
EDUCATION & TECH     COMMON          647581107        2        28 Shares                 X               1         28      0       0
NEW ORIENTAL


                                    34 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
EDUCATION & TECH     COMMON          647581107        1        10 Shares                         X       1         10      0       0
NEW YORK
COMMUNITY
BANCORP INC          COMMON          649445103       51      3100 Shares                 X               2          0      0    3100
NEW YORK TIMES
CO CL A              COMMON          650111107       14      1220 Shares                 X               1       1220      0       0
NEWELL
RUBBERMAID INC
COM                  COMMON          651229106       12       792 Shares                 X               1        792      0       0
NEWELL
RUBBERMAID INC
COM                  COMMON          651229106      120      7880 Shares                         X       1       7880      0       0
NEWFIELD
EXPLORATION CO       COMMON          651290108       33       641 Shares                 X               1        641      0       0
NEWFIELD
EXPLORATION CO       COMMON          651290108        7       125 Shares                         X       1        125      0       0
NEWMARKET
CORPORATION          COMMON          651587107      591      5740 Shares                 X               1       5740      0       0
NEWMARKET
CORPORATION          COMMON          651587107      984      9556 Shares                         X       1       9556      0       0
NEWMONT MINING       COMMON          651639106       71      1388 Shares                 X               1       1388      0       0
NEWMONT MINING       COMMON          651639106       72      1422 Shares                         X       1        522      0     900
NEWS CORP INC-A      COMMON          65248E104      571     39629 Shares                 X               1      39629      0       0
NEWS CORP INC-A      COMMON          65248E104       34      2350 Shares                         X       1       2350      0       0
NEWS CORP-CLASS B    COMMON          65248E203        5       265 Shares                 X               1        265      0       0
NEXEN INC            COMMON          65334H102        4       160 Shares                 X               1        160      0       0
NICHOLAS-APPLEGATE
INTL & PREM          PREFERRED       65370C108       16      1000 Shares                         X       1          0      0       0
NICOR INC            COMMON          654086107       21       500 Shares                 X               1        500      0       0
NICOR INC            COMMON          654086107        8       200 Shares                         X       1        200      0       0
NIKE INC CL B        COMMON          654106103     3277     44583 Shares                 X               1      43588      0     995
NIKE INC CL B        COMMON          654106103      394      5360 Shares                         X       1       3960      0    1400
NIKE INC CL B        COMMON          654106103       56       765 Shares                 X               2          0      0     765
NIKE INC CL B        COMMON          654106103      731      9943 Shares                 X               3       9943      0       0
NIPPON TELEGRAPH
& TELE ADR           COMMON          654624105       21       993 Shares                 X               1        993      0       0
NISOURCE INC         COMMON          65473P105       54      3426 Shares                 X               1       3426      0       0
NISOURCE INC         COMMON          65473P105       31      1971 Shares                         X       1       1971      0       0
NOKIA CORP
SPONSORED ADR        COMMON          654902204      469     30196 Shares                 X               1      30196      0       0
NOKIA CORP
SPONSORED ADR        COMMON          654902204      332     21390 Shares                         X       1      21240      0     150
NOBLE ENERGY INC     COMMON          655044105      463      6340 Shares                 X               1       6340      0       0
NOBLE ENERGY INC     COMMON          655044105       15       200 Shares                         X       1        200      0       0
NOBLE ENERGY INC     COMMON          655044105     2901     39735 Shares                 X               3      39735      0       0
NOMURA HLDGS INC     COMMON          65535H208        1       147 Shares                 X               1        147      0       0
NORDSTROM INC        COMMON          655664100      642     15723 Shares                 X               1      15723      0       0
NORDSTROM INC        COMMON          655664100     1373     33617 Shares                 X               3      33617      0       0
NORFOLK SOUTHERN
CORP                 COMMON          655844108     1289     23060 Shares                 X               1      22860      0     200
NORFOLK SOUTHERN
CORP                 COMMON          655844108      683     12220 Shares                         X       1       9520      0    2700
NORFOLK SOUTHERN
CORP                 COMMON          655844108       25       450 Shares                 X               3        450      0       0
NORTH AMERICAN
ENERGY               COMMON          656844107       30      3100 Shares                 X               1       3100      0       0
NORTH AMERICAN
ENERGY               COMMON          656844107      815     85000 Shares                 X               3      85000      0       0
NORTHEAST
UTILITIES COM        COMMON          664397106        3       125 Shares                 X               1        125      0       0
NORTHROP GRUMMAN
CORP                 COMMON          666807102      231      3516 Shares                 X               1       3516      0       0
NORTHROP GRUMMAN
CORP                 COMMON          666807102      139      2123 Shares                         X       1       2123      0       0
NORTHROP GRUMMAN
CORP                 COMMON          666807102       98      1500 Shares                 X               3       1500      0       0
NORTHWEST
NATURAL GAS
COMPANY              COMMON          667655104       21       450 Shares                 X               1        450      0       0
NORTHWEST
NATURAL GAS
COMPANY              COMMON          667655104       23       500 Shares                         X       1        500      0       0
NORWOOD
FINANCIAL CORP       COMMON          669549107        7       250 Shares                 X               1        250      0       0
NOVARTIS AG ADR      COMMON          66987V109     3377     62425 Shares                 X               1      62288      0     137
NOVARTIS AG ADR      COMMON          66987V109      967     17877 Shares                         X       1      17492      0     385
NOVARTIS AG ADR      COMMON          66987V109      173      3207 Shares                 X               3       1329      0    1878
NOVAVAX INC          COMMON          670002104       23     10000 Shares                 X               1      10000      0       0
NOVO-NORDISK A/S
SPONS ADR            COMMON          670100205        2        24 Shares                 X               1         24      0       0


                                    35 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
NOVO-NORDISK A/S
SPONS ADR            COMMON          670100205        1         8 Shares                         X       1          8      0       0
NOVO-NORDISK A/S
SPONS ADR            COMMON          670100205      386      5000 Shares                 X               2          0      0    5000
NU SKIN
ENTERPRISES INC      COMMON          67018T105        2        70 Shares                 X               1         70      0       0
NU SKIN
ENTERPRISES INC      COMMON          67018T105       23       800 Shares                 X               2          0      0     800
NSTAR COM            COMMON          67019E107       11       305 Shares                 X               1        305      0       0
NUCOR CORP           COMMON          670346105      564     12420 Shares                 X               1      10220      0    2200
NUCOR CORP           COMMON          670346105      466     10270 Shares                         X       1       9050      0    1220
NUCOR CORP           COMMON          670346105       91      2000 Shares                 X               2          0      0    2000
NUSTAR ENERGY LP     COMMON          67058H102       12       200 Shares                         X       1        200      0       0
NUSTAR GP
HOLDINGS LLC         COMMON          67059L102       84      2850 Shares                 X               2          0      0    2850
NUVEEN PA PREM
INCOME MUN FD 2      PREFERRED       67061F101       88      6931 Shares                 X               1          0      0       0
NUVEEN PA PREM
INCOME MUN FD 2      PREFERRED       67061F101     1742    137734 Shares                         X       1          0      0       0
NUVEEN MARYLAND
PREM INC MUN F       PREFERRED       67061Q107       28      2000 Shares                 X               2          0      0       0
NUVEEN INVT
QUALITY MUNI FD      PREFERRED       67062E103        5       333 Shares                         X       1          0      0       0
NUVEEN INSD
QUALITY MUN FD       PREFERRED       67062N103       17      1200 Shares                 X               1          0      0       0
NUVEEN
PERFORMANCE PLUS
MUNI F               PREFERRED       67062P108        6       390 Shares                         X       1          0      0       0
NUVEEN NY PERF
PLUS MUNI FD         PREFERRED       67062R104       28      2000 Shares                         X       1          0      0       0
NUVEEN NY INVT
QUALITY MUN FD       PREFERRED       67062X101       21      1500 Shares                         X       1          0      0       0
NUVEEN SELECT
TAX-FREE INC 2       PREFERRED       67063C106      552     40000 Shares                         X       1          0      0       0
NUVEEN PREMIUM
INCOME MUNICIPA      PREFERRED       67063W102       29      2094 Shares                 X               1          0      0       0
NUTRISYSTEM INC      COMMON          67069D108        2       125 Shares                 X               1        125      0       0
NUVEEN MARYLAND
DIVIDEND ADV M       PREFERRED       67069R107       13       923 Shares                 X               1          0      0       0
NUVEEN CA DVD
ADV MUNI FD 2        PREFERRED       67069X104       68      5000 Shares                 X               1          0      0       0
NUVEEN INSURED
PREM INC MUNI F      PREFERRED       6706D8104       39      3100 Shares                 X               2          0      0       0
NUVEEN PA
DIVIDEND ADV
MUNI FD              PREFERRED       67070E103       13      1000 Shares                         X       1          0      0       0
NUVEEN MD DIV
ADVANTAGE MUN FD     PREFERRED       67070V105       57      4059 Shares                 X               1          0      0       0
NUVEEN QUALITY
PREFERRED INC F      PREFERRED       67071S101       36      5000 Shares                 X               2          0      0       0
NUVEEN QUALITY
PFD INCOME FD 2      PREFERRED       67072C105       14      1735 Shares                 X               1          0      0       0
NUVEEN QUALITY
PFD INCOME FD 2      PREFERRED       67072C105      118     15000 Shares                 X               2          0      0       0
NUVEEN QUALITY
PFD INCOME FD 3      PREFERRED       67072W101        5       700 Shares                         X       1          0      0       0
NUVEEN MULTI
STRATEGY INC & GR    PREFERRED       67073D102       15      1860 Shares                 X               1          0      0       0
NUVEEN MULTI
STRATEGY INC & GR    PREFERRED       67073D102       17      2000 Shares                         X       1          0      0       0
NV ENERGY INC        COMMON          67073Y106        4       311 Shares                 X               1        311      0       0
NV ENERGY INC        COMMON          67073Y106        2       200 Shares                         X       1        200      0       0
OGE ENERGY CORP
COM                  COMMON          670837103       12       300 Shares                 X               1        300      0       0
OGE ENERGY CORP
COM                  COMMON          670837103       70      1810 Shares                         X       1       1810      0       0
NUVEEN TAX
ADVANTAGE TOT RET    PREFERRED       67090H102        6       500 Shares                         X       1          0      0       0
NUVEEN MUNICIPAL
VALUE FUND           PREFERRED       670928100       81      8235 Shares                 X               1          0      0       0
NUVEEN MUNICIPAL
VALUE FUND           PREFERRED       670928100       72      7333 Shares                         X       1          0      0       0
NUVEEN PA INVT
QUALITY MUN FD       PREFERRED       670972108       69      5115 Shares                 X               1          0      0       0
NUVEEN PA INVT
QUALITY MUN FD       PREFERRED       670972108       49      3600 Shares                         X       1          0      0       0
NUVEEN SELECT
QUALITY MUN FD       PREFERRED       670973106        6       406 Shares                         X       1          0      0       0
NUVEEN QUALITY
INCOME MUNI FD       PREFERRED       670977107        7       500 Shares                 X               1          0      0       0
NUVEEN QUALITY
INCOME MUNI FD       PREFERRED       670977107        3       210 Shares                         X       1          0      0       0
NUVEEN INSD MUNI
OPPORTUNITY          PREFERRED       670984103        6       396 Shares                         X       1          0      0       0
NUVEEN INSD MUNI
OPPORTUNITY          PREFERRED       670984103        7       500 Shares                 X               2          0      0       0
NUVEEN PREMIER
INSD MUNI INC F      PREFERRED       670987106        6       410 Shares                 X               1          0      0       0
NUVEEN PREMIER
INSD MUNI INC F      PREFERRED       670987106       14      1000 Shares                         X       1          0      0       0
NUVEEN PREMIER
INSD MUNI INC F      PREFERRED       670987106       15      1050 Shares                 X               2          0      0       0
OCCIDENTAL PETE
CORP COM             COMMON          674599105      533      6301 Shares                 X               1       6301      0       0


                                    36 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
OCCIDENTAL PETE
CORP COM             COMMON          674599105      256      3028 Shares                         X       1       3028      0       0
OCCIDENTAL PETE
CORP COM             COMMON          674599105     2614     30919 Shares                 X               2       9119      0   21800
OCEANEERING INTL
INC COM              COMMON          675232102        3        55 Shares                 X               1         55      0       0
OCH ZIFF CAP MGMT    COM CL A        67551U105       67      4200 Shares                 X               1       4200      0       0
OCH ZIFF CAP MGMT    COM CL A        67551U105     1824    114000 Shares                 X               3     114000      0       0
OFFICEMAX INC        COMMON          67622P101       28      1725 Shares                 X               1       1725      0       0
OFFICEMAX INC        COMMON          67622P101      780     47500 Shares                 X               3      47500      0       0
OLD NATIONAL
BANCORP COM          COMMON          680033107       48      4000 Shares                 X               1       4000      0       0
OLD REPUBLIC
INTL CORP COM        COMMON          680223104       28      2200 Shares                 X               1       2200      0       0
OLIN CORP COM        COMMON          680665205       15       750 Shares                 X               1        750      0       0
OMNICOM GROUP
INC COM              COMMON          681919106       66      1700 Shares                 X               1       1700      0       0
OMNICOM GROUP
INC COM              COMMON          681919106       43      1100 Shares                         X       1       1100      0       0
ONCOTHYREON INC      COMMON          682324108        3       933 Shares                 X               1        250      0     683
1-800-FLOWERS.COM
INC                  COMMON          68243Q106        1       205 Shares                 X               1        205      0       0
ONEOK INC            COMMON          682680103       32       700 Shares                 X               1        700      0       0
ONEOK PARTNERS LP    COMMON          68268N103       67      1100 Shares                 X               1       1100      0       0
ONEOK PARTNERS LP    COMMON          68268N103       25       400 Shares                         X       1        400      0       0
OPNET TECHN INC      COMMON          683757108       36      2250 Shares                 X               1       2250      0       0
OPNET TECHN INC      COMMON          683757108     1009     62600 Shares                 X               3      62600      0       0
OPTIMAL GROUP
INC - CL A           COMMON          68388R307        0        60 Shares                 X               1         60      0       0
ORACLE
CORPORATION COM      COMMON          68389X105     4029    156713 Shares                 X               1     156713      0       0
ORACLE
CORPORATION COM      COMMON          68389X105      698     27161 Shares                         X       1      26061      0    1100
ORACLE
CORPORATION COM      COMMON          68389X105     1432     55700 Shares                 X               2      30700      0   25000
ORACLE
CORPORATION COM      COMMON          68389X105     1840     71610 Shares                 X               3      68697      0    2913
ORACLE
CORPORATION COM      COMMON          68389X105       22       850 Shares                 X               4        850      0       0
OREXIGEN THERAP      COMMON          686164104       15      2525 Shares                 X               1       2525      0       0
OREXIGEN THERAP      COMMON          686164104      404     68600 Shares                 X               3      68600      0       0
ORION MARINE
GROUP                COMMON          68628V308       17       925 Shares                 X               1        925      0       0
ORION MARINE
GROUP                COMMON          68628V308      460     25500 Shares                 X               3      25500      0       0
ORRSTOWN FINL
SVCS INC COM         COMMON          687380105      154      6075 Shares                 X               1       6075      0       0
OSHKOSH
CORPORATION          COMMON          688239201        8       200 Shares                 X               1        200      0       0
OTELCO INC           COMMON          688823202        1        55 Shares                 X               1         55      0       0
OXIGENE INC          COMMON          691828107        6      5000 Shares                 X               1       5000      0       0
PAB BANKSHARES
INC                  COMMON          69313P101        4      2040 Shares                 X               2          0      0    2040
P G & E CORP         COMMON          69331C108      127      3004 Shares                 X               1       3004      0       0
P G & E CORP         COMMON          69331C108      110      2600 Shares                         X       1       1100      0    1500
PHH CORPORATION      COMMON          693320202       18       750 Shares                 X               1        750      0       0
PMC-SIERRA INC       COMMON          69344F106      253     28314 Shares                 X               1      28314      0       0
PMC-SIERRA INC       COMMON          69344F106     2308    258700 Shares                 X               3     258700      0       0
PNC FINANCIAL
SERVICES GROUP I     COMMON          693475105     8608    144187 Shares                 X               1     139087      0    5100
PNC FINANCIAL
SERVICES GROUP I     COMMON          693475105     3039     50901 Shares                         X       1      39559   3450    7892
PNC FINANCIAL
SERVICES GROUP I     COMMON          693475105      923     15458 Shares                 X               2          0      0   15458
PNC FINANCIAL
SERVICES GROUP I     COMMON          693475105       90      1507 Shares                 X               3       1507      0       0
PNC BANK CORP
PFD CONV 1.80 SE     PREFERRED       693475501       19       194 Shares                 X               1          0      0       0
PPG INDS INC         COMMON          693506107      586      8960 Shares                 X               1       8160      0     800
PPG INDS INC         COMMON          693506107      892     13633 Shares                         X       1      12633      0    1000
PPL CORP COM         COMMON          69351T106     3603    130028 Shares                 X               1     129228      0     800
PPL CORP COM         COMMON          69351T106      878     31698 Shares                         X       1      25831   2130    3737
PS BUSINESS PKS
INC                  COMMON          69360J107        3        65 Shares                 X               1          0      0       0
PACCAR INC           COMMON          693718108        4       100 Shares                 X               1        100      0       0


                                    37 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
PACCAR INC           COMMON          693718108      176      4050 Shares                 X               2          0      0    4050
PACTIV CORP COM      COMMON          695257105        3       125 Shares                 X               1        125      0       0
PAETEC HOLDING
CORP                 COMMON          695459107       47     10000 Shares                 X               1       5000      0    5000
PALL CORP COM        COMMON          696429307       81      2000 Shares                         X       1       2000      0       0
PALM INC             COMMON          696643105      240     63875 Shares                 X               1      63875      0       0
PALM INC             COMMON          696643105      415    110514 Shares                 X               3     110514      0       0
PAN AMERICAN
SILVER CORP          COMMON          697900108        2       100 Shares                 X               1        100      0       0
PANERA BREAD CO      CLASS A         69840W108      253      3305 Shares                 X               1       3305      0       0
PANERA BREAD CO      CLASS A         69840W108     2975     38900 Shares                 X               3      38900      0       0
PAPA JOHNS
INTERNATIONAL INC    COMMON          698813102        5       200 Shares                 X               1        200      0       0
PARAMETRIC TECH
CORP                 COMMON          699173209       49      2703 Shares                 X               1       2703      0       0
PARAMETRIC TECH
CORP                 COMMON          699173209     1227     68000 Shares                 X               3      68000      0       0
PAREXEL INTL CORP    COMMON          699462107       54      2300 Shares                 X               1       2300      0       0
PAREXEL INTL CORP    COMMON          699462107     1469     63000 Shares                 X               3      63000      0       0
PARKER HANNIFIN
CORP                 COMMON          701094104     1198     18503 Shares                 X               1      18503      0       0
PARKER HANNIFIN
CORP                 COMMON          701094104       79      1216 Shares                         X       1       1216      0       0
PARKER HANNIFIN
CORP                 COMMON          701094104     2034     31426 Shares                 X               3      31426      0       0
PATRIOT COAL CORP    COMMON          70336T104        5       220 Shares                 X               1        220      0       0
PATRIOT COAL CORP    COMMON          70336T104        0        20 Shares                         X       1         20      0       0
PATTERSON-UTI
ENERGY INC           COMMON          703481101       28      2000 Shares                 X               3       2000      0       0
PAYCHEX INC COM      COMMON          704326107     1093     35590 Shares                 X               1      35590      0       0
PAYCHEX INC COM      COMMON          704326107       55      1800 Shares                         X       1       1800      0       0
PEABODY ENERGY
CORP                 COMMON          704549104     2172     47532 Shares                 X               1      47532      0       0
PEABODY ENERGY
CORP                 COMMON          704549104      334      7315 Shares                         X       1       6985      0     330
PEABODY ENERGY
CORP                 COMMON          704549104     2495     54600 Shares                 X               3      54600      0       0
PEETS COFFEE &
TEA INC COM          COMMON          705560100        8       200 Shares                 X               1        200      0       0
PENGROWTH ENERGY
TRUST                COMMON          706902509        2       200 Shares                 X               1        200      0       0
PENGROWTH ENERGY
TRUST                COMMON          706902509       68      5800 Shares                 X               2          0      0    5800
PENN MILLERS
HOLDING CORP         COMMON          707561106       61      5000 Shares                 X               1       5000      0       0
PENN VA RESOURCE
PARTNERS LP          COMMON          707884102       23      1000 Shares                         X       1       1000      0       0
PENNWEST ENERGY
TRUST                COMMON          707885109      105      4960 Shares                         X       1       4960      0       0
PENNWEST ENERGY
TRUST                COMMON          707885109       77      3650 Shares                 X               2          0      0    3650
PENNEY JC CO INC     COMMON          708160106       80      2475 Shares                 X               1       2475      0       0
PENNEY JC CO INC     COMMON          708160106       42      1308 Shares                         X       1       1308      0       0
PENNICHUCK
CORPORATION NEW      COMMON          708254206       14       600 Shares                 X               1        600      0       0
PENNS WOODS
BANCORP INC.         COMMON          708430103       34      1000 Shares                 X               1       1000      0       0
PENNS WOODS
BANCORP INC.         COMMON          708430103      313      9324 Shares                 X               3       9324      0       0
PENN ESTATE INV
TR (REIT)            COMMON          709102107       12      1000 Shares                 X               1          0      0       0
PENTAIR INC COM      COMMON          709631105       28       800 Shares                 X               1        800      0       0
PENTAIR INC COM      COMMON          709631105      171      4800 Shares                         X       1       4800      0       0
PEP BOY MANNY
MOE&JK               COMMON          713278109       31      3125 Shares                 X               1       3125      0       0
PEP BOY MANNY
MOE&JK               COMMON          713278109      854     85000 Shares                 X               3      85000      0       0
PEPCO HOLDINGS
INC                  COMMON          713291102      865     50422 Shares                 X               1      48896      0    1526
PEPCO HOLDINGS
INC                  COMMON          713291102      187     10887 Shares                         X       1       8587      0    2300
PEPCO HOLDINGS
INC                  COMMON          713291102       63      3693 Shares                 X               2          0      0    3693
PEPSICO INC COM      COMMON          713448108    23149    349897 Shares                 X               1     346447      0    3450
PEPSICO INC COM      COMMON          713448108    13935    210624 Shares                         X       1     194961      0   15663
PEPSICO INC COM      COMMON          713448108     8484    128237 Shares                 X               2      31410      0   96827
PEPSICO INC COM      COMMON          713448108     2989     45179 Shares                 X               3      43105      0    2074
PEPSICO INC COM      COMMON          713448108       10       150 Shares                 X               4        150      0       0


                                    38 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
PEPSICO INC COM      COMMON          713448108      112      1700 Shares                         X       4       1700      0       0
PERKINELMER INC
COM                  COMMON          714046109       96      4000 Shares                         X       1       4000      0       0
PERMA-FIX
ENVIRONMENTAL
SVCS                 COMMON          714157104      650    290000 Shares                 X               2          0      0  290000
PERRIGO CO           COMMON          714290103      295      5023 Shares                 X               1       5023      0       0
PERRIGO CO           COMMON          714290103     2667     45424 Shares                 X               3      45424      0       0
PETMED EXPRESS
INC                  COMMON          716382106       18       800 Shares                 X               1        800      0       0
PETROCHINA CO
LTD ADR              COMMON          71646E100        2        16 Shares                 X               1         16      0       0
PETROCHINA CO
LTD ADR              COMMON          71646E100       15       131 Shares                         X       1        131      0       0
PETE & RES CORP
COM                  COMMON          716549100       15       625 Shares                 X               1        625      0       0
PETROLEO
BRASILEIRO SA ADR    COMMON          71654V101       35       880 Shares                 X               2          0      0     880
PETROLEO
BRASILEIRO SA
SPNS AD              COMMON          71654V408       99      2232 Shares                 X               1       2232      0       0
PETROLEO
BRASILEIRO SA
SPNS AD              COMMON          71654V408       11       238 Shares                         X       1        238      0       0
PETSMART INC         COMMON          716768106      200      6252 Shares                 X               1       6252      0       0
PETSMART INC         COMMON          716768106       34      1050 Shares                         X       1       1050      0       0
PFIZER INC           COMMON          717081103    12757    743833 Shares                 X               1     737987      0    5846
PFIZER INC           COMMON          717081103    10791    629234 Shares                         X       1     579363    600   49271
PFIZER INC           COMMON          717081103     3401    198349 Shares                 X               2      38568      0  159781
PFIZER INC           COMMON          717081103      219     12747 Shares                 X               3      12747      0       0
PFIZER INC           COMMON          717081103       18      1045 Shares                 X               4       1045      0       0
PHARMACEUTICAL
HOLDERS TRUST        PREFERRED       71712A206       17       250 Shares                         X       1          0      0       0
PHILIP MORRIS
INTL INC             COMMON          718172109    14690    281637 Shares                 X               1     278177      0    3460
PHILIP MORRIS
INTL INC             COMMON          718172109     6531    125210 Shares                         X       1     118909      0    6301
PHILIP MORRIS
INTL INC             COMMON          718172109     2920     55983 Shares                 X               2       7228      0   48755
PHILIP MORRIS
INTL INC             COMMON          718172109     3122     59859 Shares                 X               3      59859      0       0
PHILIP MORRIS
INTL INC             COMMON          718172109       65      1250 Shares                         X       4       1250      0       0
PHILLIPS VAN
HEUSEN               COMMON          718592108      367      6397 Shares                 X               1       6397      0       0
PHILLIPS VAN
HEUSEN               COMMON          718592108     4548     79300 Shares                 X               3      79300      0       0
PHOENIX COS INC
COM                  COMMON          71902E109        4      1745 Shares                 X               1       1745      0       0
PHOENIX COS INC
COM                  COMMON          71902E109        3      1256 Shares                         X       1       1256      0       0
PHOENIX COS INC
COM                  COMMON          71902E109        6      2574 Shares                 X               2          0      0    2574
PIEDMONT NAT GAS
INC                  COMMON          720186105       60      2180 Shares                 X               1       2180      0       0
PIEDMONT NAT GAS
INC                  COMMON          720186105       11       400 Shares                         X       1        400      0       0
PIER 1 IMPORTS
INC                  COM USD1        720279108       27      4200 Shares                 X               1       4200      0       0
PIER 1 IMPORTS
INC                  COM USD1        720279108      790    124000 Shares                 X               3     124000      0       0
PIMCO MUNICIPAL
INCOME FUND          PREFERRED       72200R107       14      1000 Shares                 X               2          0      0       0
PIMCO RCM STRAT
GLOBAL GOVT          PREFERRED       72200X104       42      4050 Shares                 X               1          0      0       0
PIMCO MUNICIPAL
INCOME FUND II       PREFERRED       72201A103       15      1335 Shares                         X       1          0      0       0
PINNACLE DATA
SYSTEMS INC          COMMON          723454104        0       300 Shares                 X               1        300      0       0
PINNACLE WEST
CAPITAL CORP         COMMON          723484101        4       100 Shares                         X       1        100      0       0
PIONEER
MUNICIPAL HI INC
ADV T                PREFERRED       723762100       26      2000 Shares                 X               1          0      0       0
PIPER JAFFRAY
COMPANIES INC        COMMON          724078100        7       169 Shares                 X               1        169      0       0
PIPER JAFFRAY
COMPANIES INC        COMMON          724078100        0         1 Shares                         X       1          1      0       0
PITNEY BOWES INC
COM                  COMMON          724479100      105      4299 Shares                 X               1       4299      0       0
PITNEY BOWES INC
COM                  COMMON          724479100       20       800 Shares                 X               3        800      0       0
PIZZA INN INC        COMMON          725848105        1       325 Shares                 X               1        325      0       0
PLAINS ALL
AMERICAN
PIPELINE L           COMMON          726503105       28       500 Shares                 X               1        500      0       0
PLAINS ALL
AMERICAN
PIPELINE L           COMMON          726503105    13198    231947 Shares                 X               2      35800      0  196147
PLANTRONICS INC      COMMON          727493108       44      1400 Shares                 X               1       1400      0       0
PLANTRONICS INC      COMMON          727493108     1222     39075 Shares                 X               3      39075      0       0
PLEXUS CORP          COMMON          729132100       29       800 Shares                 X               1        800      0       0


                                    39 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
PLEXUS CORP          COMMON          729132100      793     22000 Shares                 X               3      22000      0       0
PLUM CREEK
TIMBER CO INC        COMMON          729251108      128      3280 Shares                 X               1          0      0       0
PLUM CREEK
TIMBER CO INC        COMMON          729251108       58      1500 Shares                         X       1          0      0       0
PLUM CREEK
TIMBER CO INC        COMMON          729251108       68      1750 Shares                 X               2          0      0       0
POLO RALPH
LAUREN
CORPORATION          COMMON          731572103        7        85 Shares                 X               1         85      0       0
PORTUGAL TELECOM
SGPS S A SPON        COMMON          737273102      144     13000 Shares                 X               1      13000      0       0
POST PROPERTIES
INC                  COMMON          737464107      209      9500 Shares                 X               2          0      0       0
POTASH CORP OF
SASKATCHEWAN IN      COMMON          73755L107     2798     23442 Shares                 X               1      23428      0      14
POTASH CORP OF
SASKATCHEWAN IN      COMMON          73755L107      175      1464 Shares                         X       1       1464      0       0
POTASH CORP OF
SASKATCHEWAN IN      COMMON          73755L107     1305     10933 Shares                 X               3      10338      0     595
POWERSHARES QQQ      PREFERRED       73935A104     1096     22752 Shares                 X               1          0      0       0
POWERSHARES QQQ      PREFERRED       73935A104     2625     54496 Shares                         X       1          0      0       0
POWERSHARES QQQ      PREFERRED       73935A104      149      3100 Shares                 X               2          0      0       0
POWERSHARES
FINANCIAL
PREFERRE             PREFERRED       73935X229      104      6000 Shares                 X               2          0      0       0
POWERSHARES
GLOBAL WATER
PORTF                COMMON          73935X575       23      1300 Shares                 X               1       1300      0       0
POWERSHARES DB
AGRICULTURE FD       COMMON          73936B408       20       825 Shares                         X       1        825      0       0
POWERSHARES DB
OIL FUND             PREFERRED       73936B507       27       975 Shares                         X       1          0      0       0
POWERSHARES DB
US $ INDEX BEAR      PREFERRED       73936D206       53      2000 Shares                 X               1          0      0       0
POWERSHARES DB
US $ INDEX BEAR      PREFERRED       73936D206       13       500 Shares                         X       1          0      0       0
POWERSHARES
GLOBAL WATER
PORTF                PREFERRED       73936T623      117      6500 Shares                 X               2          0      0       0
POWERSHARES
GLOBAL WIND
ENERGY               PREFERRED       73937B308        4       300 Shares                 X               1          0      0       0
PRAXAIR INC          COMMON          74005P104      154      1861 Shares                 X               1       1861      0       0
PRAXAIR INC          COMMON          74005P104      315      3801 Shares                         X       1       3601      0     200
PRAXAIR INC          COMMON          74005P104     4434     55440 Shares                 X               2      29040      0   26400
PRAXAIR INC          COMMON          74005P104       91      1100 Shares                 X               3       1100      0       0
PRECISION
CASTPARTS            COMMON          740189105     3644     28758 Shares                 X               1      28758      0       0
PRECISION
CASTPARTS            COMMON          740189105        7        56 Shares                         X       1         56      0       0
PRECISION
CASTPARTS            COMMON          740189105     1717     13550 Shares                 X               2          0      0   13550
PRECISION
CASTPARTS            COMMON          740189105     5068     39995 Shares                 X               3      38748      0    1247
PRECISION
DRILLING TRUST       COMMON          740215108       31      4000 Shares                         X       1       4000      0       0
PREMIER
FINANCIAL
BANCORP INC          COMMON          74050M105        1        61 Shares                 X               2          0      0      61
PRICE T ROWE GRP     COMMON          74144T108     5206     94710 Shares                 X               1      94235      0     475
PRICE T ROWE GRP     COMMON          74144T108     1364     24805 Shares                         X       1      22940      0    1865
PRICE T ROWE GRP     COMMON          74144T108       99      1800 Shares                 X               2          0      0    1800
PRICE T ROWE GRP     COMMON          74144T108     3621     65921 Shares                 X               3      65921      0       0
PRICE T ROWE GRP     COMMON          74144T108       27       500 Shares                         X       4        500      0       0
PROCTER & GAMBLE
CO COM               COMMON          742718109    32948    520757 Shares                 X               1     517595      0    3162
PROCTER & GAMBLE
CO COM               COMMON          742718109    30226    477729 Shares                         X       1     382263      0   95466
PROCTER & GAMBLE
CO COM               COMMON          742718109    21312    336848 Shares                 X               2      58763      0  278085
PROCTER & GAMBLE
CO COM               COMMON          742718109     4399     69520 Shares                 X               3      66301      0    3219
PROCTER & GAMBLE
CO COM               COMMON          742718109       19       295 Shares                 X               4        295      0       0
PROCTER & GAMBLE
CO COM               COMMON          742718109      221      3500 Shares                         X       4       3500      0       0
PROGRESS ENERGY
INC COM              COMMON          743263105      295      7494 Shares                 X               1       6894      0     600
PROGRESS ENERGY
INC COM              COMMON          743263105      106      2685 Shares                         X       1       2635      0      50
PROGRESS SOFTWARE    COMMON          743312100       26       825 Shares                 X               1        825      0       0
PROGRESS SOFTWARE    COMMON          743312100      723     23000 Shares                 X               3      23000      0       0
PROGRESSIVE CORP
COM                  COMMON          743315103       76      4000 Shares                 X               1       4000      0       0
PROLOGIS (REIT)      COMMON          743410102        5       387 Shares                 X               1          0      0       0
PROLOGIS (REIT)      COMMON          743410102       14      1039 Shares                 X               2          0      0       0
ULTRASHORT
FINANCIALS
PROSHARE             PREFERRED       74347R628       27      1400 Shares                         X       1          0      0       0


                                    40 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ULTRASHORT QQQ
PROSHARES            PREFERRED       74347R875       23      1400 Shares                         X       1          0      0       0
ULTRASHORT
S&P500 PROSHARES     PREFERRED       74347R883       25       800 Shares                         X       1          0      0       0
PROVIDENCE
SERVICE
CORPORATION          COMMON          743815102        1        45 Shares                 X               1         45      0       0
PROVIDENT ENERGY
TRUST UNITS          COMMON          74386K104        2       200 Shares                 X               1        200      0       0
PROVIDENT ENERGY
TRUST UNITS          COMMON          74386K104       13      1700 Shares                         X       1       1700      0       0
PROVIDENT
FINANCIAL
SERVICES I           COMMON          74386T105        7       600 Shares                 X               1        600      0       0
PROVIDENT NEW
YORK BANCORP         COMMON          744028101       21      2225 Shares                 X               1       2225      0       0
PRUDENTIAL
FINANCIAL INC        COMMON          744320102      259      4278 Shares                 X               1       4278      0       0
PRUDENTIAL
FINANCIAL INC        COMMON          744320102       67      1113 Shares                         X       1       1113      0       0
PRUDENTIAL
PLC-ADR              COMMON          74435K204        4       212 Shares                 X               1        212      0       0
PRUDENTIAL
PLC-ADR              COMMON          74435K204        2        98 Shares                         X       1         98      0       0
PSYCHIATRIC
SOLUTIONS INC        COMMON          74439H108     2134     71530 Shares                 X               1      71530      0       0
PSYCHIATRIC
SOLUTIONS INC        COMMON          74439H108       78      2625 Shares                         X       1       2625      0       0
PSYCHIATRIC
SOLUTIONS INC        COMMON          74439H108      236      7909 Shares                 X               3       4073      0    3836
PUBLIC SVC
ENTERPRISE GROUP
IN                   COMMON          744573106      141      4785 Shares                 X               1       4785      0       0
PUBLIC SVC
ENTERPRISE GROUP
IN                   COMMON          744573106      209      7086 Shares                         X       1       7086      0       0
PUBLIC
STORAGE-DEP
SHARES A             COMMON          74460D729       34      1400 Shares                 X               2          0      0       0
PULTE GROUP INC      COMMON          745867101       20      1755 Shares                 X               1       1755      0       0
PULTE GROUP INC      COMMON          745867101       90      8000 Shares                 X               2          0      0    8000
QLT INC              COMMON          746927102       10      2000 Shares                 X               1       2000      0       0
QUALCOMM INC COM     COMMON          747525103     6468    154141 Shares                 X               1     153905      0     236
QUALCOMM INC COM     COMMON          747525103     1232     29350 Shares                         X       1      28150      0    1200
QUALCOMM INC COM     COMMON          747525103       25       600 Shares                 X               2          0      0     600
QUALCOMM INC COM     COMMON          747525103     2869     68323 Shares                 X               3      65443      0    2880
QUANTA SVCS INC      COMMON          74762E102     1104     57636 Shares                 X               1      55701      0    1935
QUANTA SVCS INC      COMMON          74762E102       13       675 Shares                         X       1          0      0     675
QUANTA SVCS INC      COMMON          74762E102     1414     73800 Shares                 X               3      73800      0       0
QUEST
DIAGNOSTICS INC      COMMON          74834L100      196      3370 Shares                 X               1       3370      0       0
QUEST
DIAGNOSTICS INC      COMMON          74834L100      183      3148 Shares                         X       1       2848      0     300
QUEST
DIAGNOSTICS INC      COMMON          74834L100      117      2000 Shares                 X               2          0      0    2000
QUESTAR CORP COM     COMMON          748356102       52      1200 Shares                 X               1       1200      0       0
QUESTAR CORP COM     COMMON          748356102      164      3800 Shares                         X       1       3800      0       0
QUESTAR CORP COM     COMMON          748356102       86      2000 Shares                 X               2          0      0    2000
QUEST CAPITAL
CORP                 COMMON          74835U109        1       500 Shares                         X       1        500      0       0
QUESTCOR
PHARMACEUTICALS
INC                  COMMON          74835Y101       16      2000 Shares                 X               1       2000      0       0
QWEST
COMMUNICATIONS
INTL INC             COMMON          749121109       11      2020 Shares                 X               1       2020      0       0
QWEST
COMMUNICATIONS
INTL INC             COMMON          749121109        8      1564 Shares                         X       1       1354      0     210
QWEST
COMMUNICATIONS
INTL INC             COMMON          749121109      955    182955 Shares                 X               2      97955      0   85000
RGC RESOURCES INC    COMMON          74955L103        9       300 Shares                 X               1        300      0       0
RGC RESOURCES INC    COMMON          74955L103        3       100 Shares                         X       1        100      0       0
RPM INTL INC         COMMON          749685103      476     22300 Shares                 X               2      11300      0   11000
RTI BIOLOGICS INC    COMMON          74975N105       28      6500 Shares                 X               1       6500      0       0
RTI BIOLOGICS INC    COMMON          74975N105      818    189000 Shares                 X               3     189000      0       0
RF MICRODEVICES
INC                  COMMON          749941100      302     60719 Shares                 X               1      60719      0       0
RF MICRODEVICES
INC                  COMMON          749941100     3954    794000 Shares                 X               3     794000      0       0
RADIANT SYSTEMS
INC                  COMMON          75025N102       49      3450 Shares                 X               1       3450      0       0
RADIANT SYSTEMS
INC                  COMMON          75025N102     1349     94500 Shares                 X               3      94500      0       0
RALCORP HOLDINGS
INC                  COMMON          751028101       10       148 Shares                 X               1        148      0       0
RALCORP HOLDINGS
INC                  COMMON          751028101        4        56 Shares                         X       1         56      0       0
RAMCO-GERSHENSON
PROPERTIES TR        COMMON          751452202        4       358 Shares                 X               1          0      0       0


                                    41 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
RANGE RESOURCES
CORPORATION          COMMON          75281A109        7       158 Shares                 X               1        158      0       0
RAYMOND JAMES
FINL                 COMMON          754730109      253      9465 Shares                 X               1       9465      0       0
RAYMOND JAMES
FINL                 COMMON          754730109     2302     86100 Shares                 X               3      86100      0       0
RAYONIER INC COM     COMMON          754907103       21       464 Shares                 X               1        464      0       0
RAYONIER INC COM     COMMON          754907103       34       750 Shares                         X       1        750      0       0
RAYONIER INC COM     COMMON          754907103     1363     30000 Shares                 X               2          0      0   30000
RAYTHEON CO COM
NEW                  COMMON          755111507      263      4602 Shares                 X               1       4602      0       0
RAYTHEON CO COM
NEW                  COMMON          755111507      668     11694 Shares                         X       1      11694      0       0
RAYTHEON CO COM
NEW                  COMMON          755111507      274      4800 Shares                 X               2       3400      0    1400
RAYTHEON CO COM
NEW                  COMMON          755111507       11       200 Shares                 X               4        200      0       0
REALTY INCOME
CORP                 COMMON          756109104      246      8000 Shares                 X               2          0      0       0
REAVES UTILITY
INCOME TRUST         PREFERRED       756158101      484     24136 Shares                 X               1          0      0       0
REDWOOD TRUST
INC-REIT             COMMON          758075402        2       160 Shares                 X               1          0      0       0
REDWOOD TRUST
INC-REIT             COMMON          758075402        5       300 Shares                         X       1          0      0       0
REED ELSEVIER NV
SPONSORED ADR        COMMON          758204200        8       324 Shares                 X               1        324      0       0
REED ELSEVIER NV
SPONSORED ADR        COMMON          758204200        1        44 Shares                         X       1         44      0       0
REED ELSEVIER
PLC SPONS ADR        COMMON          758205207        1        24 Shares                 X               1         24      0       0
REGIONS FINL CORP    COMMON          7591EP100       51      6501 Shares                 X               1       6501      0       0
REGIONS FINL CORP    COMMON          7591EP100       37      4671 Shares                         X       1       4671      0       0
REGIONS FINL CORP    COMMON          7591EP100     1162    148000 Shares                 X               3     148000      0       0
RELIANCE STEEL &
ALUMINUM COMP        COMMON          759509102        5       100 Shares                 X               1          0      0     100
RENASANT CORP        COMMON          75970E107       34      2079 Shares                 X               1       2079      0       0
RENASANT CORP        COMMON          75970E107      833     51500 Shares                 X               3      51500      0       0
RENT-A-CENTER
INCORPORATED NEW     COMMON          76009N100        5       214 Shares                 X               1        214      0       0
REPSOL YPF SA
SPON ADR             COMMON          76026T205       15       618 Shares                 X               1        618      0       0
REPUBLIC SVCS
INC COM              COMMON          760759100        5       175 Shares                 X               1        175      0       0
RESEARCH IN
MOTION LIMITED       COMMON          760975102     2687     36328 Shares                 X               1      36328      0       0
RESEARCH IN
MOTION LIMITED       COMMON          760975102       76      1025 Shares                         X       1        800      0     225
RESEARCH IN
MOTION LIMITED       COMMON          760975102    11286    152572 Shares                 X               2          0      0  152572
RESEARCH IN
MOTION LIMITED       COMMON          760975102     1816     24561 Shares                 X               3      23853      0     708
RESMED INC           COMMON          761152107      308      4835 Shares                 X               1       4835      0       0
RESMED INC           COMMON          761152107     3380     53100 Shares                 X               3      53100      0       0
REYNOLDS
AMERICAN INC         COMMON          761713106       66      1216 Shares                 X               1       1216      0       0
REYNOLDS
AMERICAN INC         COMMON          761713106       56      1042 Shares                         X       1       1000      0      42
RIGHTNOW TECH INC    COMMON          76657R106       55      3100 Shares                 X               1       3100      0       0
RIGHTNOW TECH INC    COMMON          76657R106     1518     85000 Shares                 X               3      85000      0       0
RIO TINTO PLC
SPONSORED ADR        COMMON          767204100        4        16 Shares                 X               1         16      0       0
RIO TINTO PLC
SPONSORED ADR        COMMON          767204100        1         6 Shares                         X       1          6      0       0
RIO TINTO PLC
SPONSORED ADR        COMMON          767204100       59       250 Shares                 X               2          0      0     250
RITCHIE BROS
AUCTIONEERS          COMMON          767744105      145      6727 Shares                 X               1       6727      0       0
RITCHIE BROS
AUCTIONEERS          COMMON          767744105     1016     47200 Shares                 X               3      47200      0       0
RITE AID CORP COM    COMMON          767754104       21     13800 Shares                 X               1       2500      0   11300
RITE AID CORP COM    COMMON          767754104        1       600 Shares                         X       1        600      0       0
RIVERBED
TECHNOLOGY           COMMON          768573107       32      1125 Shares                 X               1       1125      0       0
RIVERBED
TECHNOLOGY           COMMON          768573107      866     30500 Shares                 X               3      30500      0       0
ROBERT HALF INTL
INC COM              COMMON          770323103       17       545 Shares                 X               1        545      0       0
ROBERT HALF INTL
INC COM              COMMON          770323103       37      1205 Shares                         X       1       1100      0     105
ROCKWELL
AUTOMATION           COMMON          773903109     3021     53595 Shares                 X               1      52595      0    1000
ROCKWELL
AUTOMATION           COMMON          773903109      335      5945 Shares                         X       1       5795      0     150
ROCKWELL
AUTOMATION           COMMON          773903109       92      1632 Shares                 X               2          0      0    1632


                                    42 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ROCKWELL
AUTOMATION           COMMON          773903109     2457     43591 Shares                 X               3      41010      0    2581
ROCKWELL
AUTOMATION           COMMON          773903109       10       175 Shares                 X               4        175      0       0
ROCKWELL COLLINS
COM                  COMMON          774341101      272      4352 Shares                 X               1       4352      0       0
ROCKWELL COLLINS
COM                  COMMON          774341101      183      2925 Shares                         X       1       2845      0      80
ROCKWELL COLLINS
COM                  COMMON          774341101      102      1632 Shares                 X               2          0      0    1632
ROCKWOOD HOLDINGS    COMMON          774415103       41      1525 Shares                 X               1       1525      0       0
ROCKWOOD HOLDINGS    COMMON          774415103     1105     41500 Shares                 X               3      41500      0       0
RODMAN & RENSHAW
CAPITAL CORP         COMMON          77487R100       79     20000 Shares                 X               2          0      0   20000
ROSETTA
RESOURCES INC        COMMON          777779307        2        95 Shares                 X               1         95      0       0
ROSS STORES INC      COMMON          778296103      502      9396 Shares                 X               1       8946      0     450
ROSS STORES INC      COMMON          778296103      194      3630 Shares                         X       1       2930      0     700
ROSS STORES INC      COMMON          778296103     2355     44050 Shares                 X               3      44050      0       0
ROVI CORPORATION     COMMON          779376102        2        60 Shares                 X               1         60      0       0
ROYAL BK CANADA      COMMON          780087102       58      1000 Shares                         X       1       1000      0       0
ROYAL BK CANADA      COMMON          780087102       47       800 Shares                 X               2          0      0     800
ROYAL DUTCH
SHELL PLC-ADR B      COMMON          780259107       74      1329 Shares                 X               1       1329      0       0
ROYAL DUTCH
SHELL PLC-ADR B      COMMON          780259107        4        64 Shares                         X       1          0      0      64
ROYAL DUTCH
SHELL PLC-ADR B      COMMON          780259107       44       800 Shares                 X               2          0      0     800
ROYAL DUTCH
SHELL PLC-ADR A      COMMON          780259206     2586     44687 Shares                 X               1      44687      0       0
ROYAL DUTCH
SHELL PLC-ADR A      COMMON          780259206     2751     47547 Shares                         X       1      43097      0    4450
ROYAL DUTCH
SHELL PLC-ADR A      COMMON          780259206      267      4614 Shares                 X               2          0      0    4614
ROYCE VALUE
TRUST (CE)           COMMON          780910105       98      8291 Shares                         X       1       8291      0       0
S & T BANCORP INC    COMMON          783859101        8       400 Shares                         X       1        400      0       0
SAIC INC             COMMON          78390X101        3       162 Shares                 X               1        162      0       0
SCOLR PHARMA INC     COMMON          78402X107       16     20000 Shares                 X               2          0      0   20000
SEI CORP COM         COMMON          784117103       34      1565 Shares                 X               1       1565      0       0
SK TELECOM CO
LTD - ADR            COMMON          78440P108        6       339 Shares                 X               1        339      0       0
SLM CORP COM         COMMON          78442P106       16      1312 Shares                 X               1       1312      0       0
SLM CORP COM         COMMON          78442P106     2714    216769 Shares                 X               2      85769      0  131000
SPDR S&P 500 ETF
TRUST                PREFERRED       78462F103    10291     87957 Shares                 X               1          0      0       0
SPDR S&P 500 ETF
TRUST                PREFERRED       78462F103     7932     67798 Shares                         X       1          0      0       0
SPDR S&P 500 ETF
TRUST                PREFERRED       78462F103      211      1801 Shares                 X               2          0      0       0
SPDR S&P 500 ETF
TRUST                PREFERRED       78462F103      602      5145 Shares                 X               3          0      0       0
SPDR S&P 500 ETF
TRUST                PREFERRED       78462F103      965      8250 Shares                         X       4          0      0       0
SPX CORP COM         COMMON          784635104      209      3150 Shares                 X               1       3150      0       0
SPX CORP COM         COMMON          784635104       74      1122 Shares                         X       1       1122      0       0
SPDR GOLD TRUST      PREFERRED       78463V107     2453     22517 Shares                 X               1          0      0       0
SPDR GOLD TRUST      PREFERRED       78463V107       85       779 Shares                         X       1          0      0       0
SPDR GOLD TRUST      PREFERRED       78463V107      215      1976 Shares                 X               2          0      0       0
SPDR S&P
EMERGING MARKETS
ETF                  PREFERRED       78463X509      200      3050 Shares                 X               2          0      0       0
SPDR DJ WILSHIRE
SMALL CAP VAL        PREFERRED       78464A300       24       380 Shares                         X       1          0      0       0
SPDR BARCLAYS
CAP HI YLD BD ET     PREFERRED       78464A417        8       200 Shares                 X               1          0      0       0
SPDR BARCLAYS
CAP HI YLD BD ET     PREFERRED       78464A417      199      5000 Shares                 X               2          0      0       0
SPDR BARCLAYS
CAP SHORT TERM M     PREFERRED       78464A425      479     20000 Shares                 X               2          0      0       0
SPDR DJ REIT ETF     PREFERRED       78464A607       81      1515 Shares                 X               1          0      0       0
SPDR BARCLAYS
CAPITAL TIPS ETF     PREFERRED       78464A656       77      1500 Shares                 X               1          0      0       0
KBW REGIONAL
BANKING ETF          PREFERRED       78464A698      594     22650 Shares                 X               1          0      0       0
KBW REGIONAL
BANKING ETF          PREFERRED       78464A698        5       200 Shares                         X       1          0      0       0
SPDR S&P
DIVIDEND ETF         PREFERRED       78464A763       99      2000 Shares                         X       1          0      0       0
KBW INSURANCE ETF    PREFERRED       78464A789      900     21800 Shares                 X               1          0      0       0


                                    43 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
SPDR KBW BANK ETF    PREFERRED       78464A797       22       849 Shares                 X               1          0      0       0
SPDR DJ MID CAP
VALUE - E            PREFERRED       78464A839       23       460 Shares                         X       1          0      0       0
SPDR S&P BIOTECH
ETF                  PREFERRED       78464A870      300      5000 Shares                         X       1          0      0       0
SPDR S&P
HOMEBUILDERS ETF     PREFERRED       78464A888      119      7100 Shares                 X               2          0      0       0
SRA INTERNATIONAL    CLASS A         78464R105       31      1500 Shares                 X               1       1500      0       0
SRA INTERNATIONAL    CLASS A         78464R105      852     41000 Shares                 X               3      41000      0       0
SPDR DJ
INDUSTRIAL AVG
ETF FD               PREFERRED       78467X109      331      3049 Shares                 X               1          0      0       0
SPDR DJ
INDUSTRIAL AVG
ETF FD               PREFERRED       78467X109      262      2416 Shares                 X               2          0      0       0
SPDR S&P MIDCAP      PREFERRED       78467Y107      724      5057 Shares                 X               1          0      0       0
SPDR S&P MIDCAP      PREFERRED       78467Y107     2351     16420 Shares                         X       1          0      0       0
SPDR S&P MIDCAP      PREFERRED       78467Y107      210      1465 Shares                 X               2          0      0       0
SPDR S&P MIDCAP      PREFERRED       78467Y107       65       455 Shares                 X               3          0      0       0
STEC INC             COMMON          784774101      921     76855 Shares                 X               1      76855      0       0
STEC INC             COMMON          784774101      806     67306 Shares                 X               3      67306      0       0
SWS GROUP INC        COMMON          78503N107        2       134 Shares                 X               1        134      0       0
SXC HEALTH SOL
CORP                 COMMON          78505P100       27       400 Shares                 X               3        400      0       0
SAFETY INSURANCE
GRP                  COMMON          78648T100        4       108 Shares                 X               1        108      0       0
SAFEWAY INC COM      COMMON          786514208      461     18532 Shares                 X               1      18532      0       0
SAFEWAY INC COM      COMMON          786514208       37      1500 Shares                         X       1          0      0    1500
ST JOE CORP          COMMON          790148100       35      1075 Shares                 X               1       1075      0       0
ST JOE CORP          COMMON          790148100        6       200 Shares                         X       1        200      0       0
ST JOE CORP          COMMON          790148100     3224     99670 Shares                 X               2      28135      0   71535
ST JUDE MEDICAL
INC COM              COMMON          790849103      139      3390 Shares                 X               1       3390      0       0
ST JUDE MEDICAL
INC COM              COMMON          790849103      140      3400 Shares                         X       1       3400      0       0
ST JUDE MEDICAL
INC COM              COMMON          790849103      141      3425 Shares                 X               3       1410      0    2015
SALESFORCE.COM       COMMON          79466L302      192      2583 Shares                 X               1       2583      0       0
SALESFORCE.COM       COMMON          79466L302        9       120 Shares                         X       1        120      0       0
SALESFORCE.COM       COMMON          79466L302     1161     15600 Shares                 X               3      15600      0       0
SALISBURY
BANCORP INC          COMMON          795226109      141      5700 Shares           X                             5700      0       0
SALIX
PHARMACEUTICAL       COMMON          795435106       52      1400 Shares                 X               1       1400      0       0
SALIX
PHARMACEUTICAL       COMMON          795435106     1416     38000 Shares                 X               3      38000      0       0
SALLY BEAUTY
COMPANY INC          COMMON          79546E104        1       100 Shares                 X               1        100      0       0
SAN JUAN BASIN
ROYALTY TR           COMMON          798241105       21      1000 Shares                 X               1       1000      0       0
SANDISK CORP COM     COMMON          80004C101       15       430 Shares                 X               1        430      0       0
SANDY SPRING
BANCORP INC          COMMON          800363103        5       300 Shares                 X               1        300      0       0
SANDY SPRING
BANCORP INC          COMMON          800363103      750     50029 Shares                         X       1      50029      0       0
SANMINA-SCI CORP     COMMON NEW      800907206       37      2225 Shares                 X               1       2225      0       0
SANMINA-SCI CORP     COMMON NEW      800907206     1007     61000 Shares                 X               3      61000      0       0
SANOFI-AVENTIS
ADR                  COMMON          80105N105       52      1392 Shares                 X               1       1392      0       0
SANOFI-AVENTIS
ADR                  COMMON          80105N105       20       536 Shares                         X       1        536      0       0
SAP AG SPONS ADR     COMMON          803054204       28       572 Shares                 X               1        572      0       0
SAP AG SPONS ADR     COMMON          803054204       59      1222 Shares                         X       1       1222      0       0
SARA LEE CORP        COMMON          803111103      275     19728 Shares                 X               1      19728      0       0
SARA LEE CORP        COMMON          803111103      273     19574 Shares                         X       1      14774      0    4800
SARA LEE CORP        COMMON          803111103       28      2000 Shares                 X               3       2000      0       0
SASOL LTD
SPONS-ADR            COMMON          803866300       41      1000 Shares                         X       1       1000      0       0
SAVIENT PHARMA       COMMON          80517Q100       50      3450 Shares                 X               1       3450      0       0
SAVIENT PHARMA       COMMON          80517Q100     1358     94000 Shares                 X               3      94000      0       0
SCANA CORP NEW
COM                  COMMON          80589M102      136      3605 Shares                 X               1       3605      0       0
SCANA CORP NEW
COM                  COMMON          80589M102      197      5251 Shares                         X       1       5225      0      26


                                    44 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
HENRY SCHEIN INC
COM                  COMMON          806407102       82      1385 Shares                 X               1       1385      0       0
SCHLUMBERGER LTD     COMMON          806857108    13312    209777 Shares                 X               1     208648      0    1129
SCHLUMBERGER LTD     COMMON          806857108     4476     70539 Shares                         X       1      64804      0    5735
SCHLUMBERGER LTD     COMMON          806857108     2593     40865 Shares                 X               2          0      0   40865
SCHLUMBERGER LTD     COMMON          806857108     1466     23109 Shares                 X               3      20161      0    2948
SCHLUMBERGER LTD     COMMON          806857108       25       400 Shares                 X               4        400      0       0
SCHLUMBERGER LTD     COMMON          806857108      111      1750 Shares                         X       4       1750      0       0
SCHOOL SPECIALTY
INC COM              COMMON          807863105        1        45 Shares                 X               1         45      0       0
SCHWAB CHARLES
CORP NEW COM         COMMON          808513105     1026     54898 Shares                 X               1      54802      0      96
SCHWAB CHARLES
CORP NEW COM         COMMON          808513105      167      8911 Shares                         X       1       8911      0       0
THE SCOTTS
MIRACLE-GRO
COMPANY              COMMON          810186106      510     11000 Shares                 X               1      11000      0       0
THE SCOTTS
MIRACLE-GRO
COMPANY              COMMON          810186106       93      2000 Shares                 X               2          0      0    2000
SEACOR HOLDINGS
INC                  COMMON          811904101        2        27 Shares                 X               1         27      0       0
SEALED AIR CORP
NEW COM              COMMON          81211K100        1        31 Shares                 X               1         31      0       0
SEARS HOLDINGS
CORP                 COMMON          812350106       96       881 Shares                 X               1        881      0       0
SEARS HOLDINGS
CORP                 COMMON          812350106       51       472 Shares                         X       1        472      0       0
HEALTH CARE
SELECT SECTOR
SPDR                 COMMON          81369Y209      204      6350 Shares                 X               2          0      0    6350
ENERGY SELECT
SECTOR SPDR FD       PREFERRED       81369Y506       81      1405 Shares                 X               1          0      0       0
ENERGY SELECT
SECTOR SPDR FD       PREFERRED       81369Y506      196      3400 Shares                 X               2          0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED       81369Y605     1488     93294 Shares                 X               1          0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED       81369Y605      696     43650 Shares                         X       1          0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED       81369Y605       27      1720 Shares                 X               3          0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED       81369Y605        5       300 Shares                 X               4          0      0       0
SELECT SECTOR
SPDRTECHNOLOGY       COMMON          81369Y803       68      2925 Shares                 X               1       2925      0       0
SELECT SECTOR
SPDR  UTILITIES      COMMON          81369Y886       11       370 Shares                 X               1        370      0       0
SELECT SECTOR
SPDR  UTILITIES      COMMON          81369Y886       31      1030 Shares                         X       1       1030      0       0
SELECTIVE INS
GROUP INC            COMMON          816300107       62      3712 Shares                 X               1       3712      0       0
SEMICONDUCTOR
HOLDRS TRUST         PREFERRED       816636203       89      3200 Shares                 X               1          0      0       0
SEMPRA ENERGY COM    COMMON          816851109       10       200 Shares                 X               1        200      0       0
SEMPRA ENERGY COM    COMMON          816851109       27       532 Shares                         X       1        532      0       0
SENIOR HOUSING
PROPERTIES TR (      COMMON          81721M109        2       100 Shares                         X       1          0      0       0
SERVICE
CORPORATION INTL     COMMON          817565104      593     64591 Shares                 X               1      64591      0       0
SERVICE
CORPORATION INTL     COMMON          817565104      161     17513 Shares                         X       1      17513      0       0
SERVICE
CORPORATION INTL     COMMON          817565104       44      4800 Shares                 X               2          0      0    4800
SEVERN BANCORP
INC                  COMMON          81811M100        3       726 Shares                         X       1        726      0       0
SEVERN BANCORP
INC                  COMMON          81811M100       38     10000 Shares                 X               2          0      0   10000
SHAW GROUP INC       COMMON          820280105        9       275 Shares                 X               1        275      0       0
SHERWIN WILLIAMS
CO COM               COMMON          824348106       64       950 Shares                 X               1        950      0       0
SHERWIN WILLIAMS
CO COM               COMMON          824348106      338      5000 Shares                         X       1          0      0    5000
SIEMENS A G
SPONSORED ADR        COMMON          826197501       12       125 Shares                 X               1        125      0       0
SIGMA ALDRICH
CORP                 COMMON          826552101       14       270 Shares                 X               1        270      0       0
SIGNATURE BANK       COMMON          82669G104        2        55 Shares                 X               1         55      0       0
SILICON GRAPHIC
INTL                 COMMON          82706L108       43      4025 Shares                 X               1       4025      0       0
SILICON GRAPHIC
INTL                 COMMON          82706L108     1171    109500 Shares                 X               3     109500      0       0
SILVER STANDARD
RESOURCES INC        COMMON          82823L106        2       125 Shares                 X               1        125      0       0
SILVERCORP
METALS INC           COMMON          82835P103        4       600 Shares                 X               1        600      0       0
SIMON PROPERTY
GRP INC (REIT)       COMMON          828806109      945     11268 Shares                 X               1          0      0       0
SIMON PROPERTY
GRP INC (REIT)       COMMON          828806109      574      6836 Shares                         X       1          0      0       0
SIMON PROPERTY
GRP INC (REIT)       COMMON          828806109     1552     18504 Shares                 X               2       3231      0       0
SIRONA DENTAL SYS    COMMON          82966C103       56      1475 Shares                 X               1       1475      0       0


                                    45 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
SIRONA DENTAL SYS    COMMON          82966C103     1540     40500 Shares                 X               3      40500      0       0
SIRIUS XM RADIO
INC                  COMMON          82967N108       12     13688 Shares                 X               1       3688      0   10000
SIRIUS XM RADIO
INC                  COMMON          82967N108       12     14000 Shares                 X               2       9000      0    5000
SKECHERS U S A
INC                  CLASS A         830566105       46      1275 Shares                 X               1       1275      0       0
SKECHERS U S A
INC                  CLASS A         830566105     1271     35000 Shares                 X               3      35000      0       0
SKYWORKS
SOLUTIONS            COMMON          83088M102       59      3800 Shares                 X               1       3800      0       0
SKYWORKS
SOLUTIONS            COMMON          83088M102     1544     99000 Shares                 X               3      99000      0       0
SMITH & NEPHEW
PLC - SPONS ADR      COMMON          83175M205        2        42 Shares                 X               1         42      0       0
SMITH & NEPHEW
PLC - SPONS ADR      COMMON          83175M205        1        14 Shares                         X       1         14      0       0
SMITH INTL INC       COMMON          832110100      865     20200 Shares                 X               1      20200      0       0
SMITH INTL INC       COMMON          832110100      441     10300 Shares                         X       1      10300      0       0
SMITHFIELD FOODS
INC                  COMMON          832248108       10       500 Shares                         X       1        500      0       0
SMITHFIELD FOODS
INC                  COMMON          832248108       19       900 Shares                 X               2          0      0     900
JM SMUCKER CO        COMMON          832696405      155      2565 Shares                 X               1       2565      0       0
JM SMUCKER CO        COMMON          832696405      219      3632 Shares                         X       1       3034      0     598
SNAP ON INC          COMMON          833034101        1        17 Shares                 X               1         17      0       0
SOCIEDAD QUIMICA
Y MINERS DE C        COMMON          833635105        3        74 Shares                 X               1         74      0       0
SOLERA HOLDINGS      COMMON          83421A104       56      1450 Shares                 X               1       1450      0       0
SOLERA HOLDINGS      COMMON          83421A104     1527     39500 Shares                 X               3      39500      0       0
SOLUTIA INC          COM NEW         834376501       42      2625 Shares                 X               1       2625      0       0
SOLUTIA INC          COM NEW         834376501        0         8 Shares                         X       1          8      0       0
SOLUTIA INC          COM NEW         834376501     1187     73700 Shares                 X               3      73700      0       0
SONIC SOLUTIONS      COMMON          835460106        1       125 Shares                 X               1        125      0       0
SONICWALL INC        COMMON          835470105        2       200 Shares                 X               1        200      0       0
SONOCO PRODUCTS
CO COM               COMMON          835495102       17       550 Shares                 X               1        550      0       0
SONOSITE INC         COMMON          83568G104       43      1350 Shares                 X               1       1350      0       0
SONOSITE INC         COMMON          83568G104     1172     36500 Shares                 X               3      36500      0       0
SOURCEFIRE INC       COMMON          83616T108      255     11091 Shares                 X               1      11091      0       0
SOURCEFIRE INC       COMMON          83616T108     3748    163325 Shares                 X               3     163325      0       0
SOUTHERN CO COM      COMMON          842587107      801     24168 Shares                 X               1      23118      0    1050
SOUTHERN CO COM      COMMON          842587107     1040     31355 Shares                         X       1      30851      0     504
SOUTHERN CO COM      COMMON          842587107       45      1353 Shares                 X               2          0      0    1353
SOUTHERN COPPER
CORP                 COMMON          84265V105       67      2126 Shares                 X               1       1526      0     600
SOUTHERN COPPER
CORP                 COMMON          84265V105        2        64 Shares                         X       1         64      0       0
SOUTHERN UNION
CO NEW COM           COMMON          844030106        5       200 Shares                 X               1        200      0       0
SOUTHWEST
AIRLINES CO COM      COMMON          844741108       20      1500 Shares                 X               1       1500      0       0
SOUTHWEST
AIRLINES CO COM      COMMON          844741108        7       500 Shares                         X       1        500      0       0
SOUTHWEST
BANCORP INC
OKLAHOMA             COMMON          844767103        1        68 Shares                 X               1         68      0       0
SOUTHWEST GAS
CORP COM             COMMON          844895102        5       166 Shares                 X               1        166      0       0
SOUTHWEST GAS
CORP COM             COMMON          844895102       30      1000 Shares                         X       1       1000      0       0
SOUTHWESTERN
ENERGY               COMMON          845467109     2527     62047 Shares                 X               1      62047      0       0
SOUTHWESTERN
ENERGY               COMMON          845467109       47      1151 Shares                         X       1       1151      0       0
SOUTHWESTERN
ENERGY               COMMON          845467109     4675    114824 Shares                 X               3     114824      0       0
SPARTECH CORP COM    COMMON          847220209        4       325 Shares                 X               1        325      0       0
SPECTRA ENERGY
CORP                 COMMON          847560109      254     11294 Shares                 X               1      11294      0       0
SPECTRA ENERGY
CORP                 COMMON          847560109      262     11608 Shares                         X       1      11358      0     250
SPECTRA ENERGY
CORP                 COMMON          847560109       17       750 Shares                 X               2          0      0     750
SPRINT NEXTEL
CORP                 COMMON          852061100        4      1055 Shares                         X       1       1055      0       0
SPRINT NEXTEL
CORP                 COMMON          852061100      187     49325 Shares                 X               2      37400      0   11925
STAGE STORES INC     COMMON          85254C305        4       259 Shares                 X               1        259      0       0


                                    46 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
STANDEX
INTERNATIONAL
CORPORAT             COMMON          854231107        3       131 Shares                 X               1        131      0       0
STANLEY BLACK &
DECKER INC           COMMON          854502101      300      5234 Shares                 X               1       5234      0       0
STANLEY BLACK &
DECKER INC           COMMON          854502101     1341     23361 Shares                         X       1      23361      0       0
STAPLES INC COM      COMMON          855030102     3009    128543 Shares                 X               1     125443      0    3100
STAPLES INC COM      COMMON          855030102      770     32908 Shares                         X       1      32533      0     375
STAPLES INC COM      COMMON          855030102      176      7500 Shares                 X               2          0      0    7500
STAPLES INC COM      COMMON          855030102      173      7411 Shares                 X               3       3935      0    3476
STAR SCIENTIFIC
INC                  COMMON          85517P101       26     10000 Shares                 X               2          0      0   10000
STARBUCKS CORP
COM                  COMMON          855244109      317     13055 Shares                 X               1      13055      0       0
STARBUCKS CORP
COM                  COMMON          855244109     1218     50214 Shares                 X               2      34497      0   15717
STARWOOD
HTLS&RESORT          COMMON          85590A401     1466     31434 Shares                 X               1      31434      0       0
STARWOOD
HTLS&RESORT          COMMON          85590A401       23       500 Shares                         X       1        500      0       0
STARWOOD
HTLS&RESORT          COMMON          85590A401       12       264 Shares                 X               2          0      0     264
STARWOOD
HTLS&RESORT          COMMON          85590A401     3074     65901 Shares                 X               3      65901      0       0
STATE STREET CORP    COMMON          857477103      755     16730 Shares                 X               1      16730      0       0
STATE STREET CORP    COMMON          857477103     3688     81700 Shares                         X       1      81700      0       0
STATE STREET CORP    COMMON          857477103       61      1356 Shares                 X               2          0      0    1356
STATOIL ASA
SPONSORED ADR        COMMON          85771P102        1        38 Shares                         X       1         38      0       0
STEEL DYNAMICS
INC                  COMMON          858119100      255     14569 Shares                 X               1      14569      0       0
STEEL DYNAMICS
INC                  COMMON          858119100     2262    129500 Shares                 X               3     129500      0       0
STELLARONE CORP      COMMON          85856G100       23      1731 Shares                 X               1       1731      0       0
STEMCELLS
INCORPORATED         COMMON          85857R105        1      1000 Shares                 X               2          0      0    1000
STERLING
BANCSHARES           COMMON          858907108        1       159 Shares                 X               1        159      0       0
STERICYCLE INC
COM                  COMMON          858912108       27       489 Shares                 X               2          0      0     489
STERLITE
INDUSTRIES
(INDIA) LT           COMMON          859737207        4       200 Shares                 X               1        200      0       0
STIFEL FINANCIAL
CORPORATION          COMMON          860630102       14       264 Shares                 X               2          0      0     264
STRATASYS INC        COMMON          862685104      173      7100 Shares                 X               1       7100      0       0
STRATASYS INC        COMMON          862685104     1585     65000 Shares                 X               3      65000      0       0
STRYKER CORP COM     COMMON          863667101      434      7580 Shares                 X               1       7580      0       0
STRYKER CORP COM     COMMON          863667101      318      5550 Shares                         X       1       4850      0     700
STRYKER CORP COM     COMMON          863667101     3156     55162 Shares                 X               2       4637      0   50525
STURM RUGER & CO
INC COM              COMMON          864159108        3       250 Shares                 X               1        250      0       0
SUBURBAN PROPANE
PARTNERS LP L        COMMON          864482104       40       850 Shares                 X               1        850      0       0
SUBURBAN PROPANE
PARTNERS LP L        COMMON          864482104      104      2200 Shares                         X       1       2200      0       0
SUCCESSFACTORS
INC                  COMMON          864596101       31      1625 Shares                 X               1       1625      0       0
SUCCESSFACTORS
INC                  COMMON          864596101      847     44500 Shares                 X               3      44500      0       0
SUN LIFE FINL INC    COMMON          866796105       83      2592 Shares                 X               1       2592      0       0
SUNCOR ENERGY INC    COMMON          867224107      556     17084 Shares                 X               1      17084      0       0
SUNCOR ENERGY INC    COMMON          867224107      100      3074 Shares                         X       1       3074      0       0
SUNESIS
PHARMACEUTICALS
INC                  COMMON          867328502        1      1000 Shares                 X               1       1000      0       0
SUNOCO LOGISTICS
PARTNERS LP          COMMON          86764L108       41       600 Shares                 X               1        600      0       0
SUNOCO LOGISTICS
PARTNERS LP          COMMON          86764L108       14       200 Shares                         X       1        200      0       0
SUNOCO LOGISTICS
PARTNERS LP          COMMON          86764L108     1918     28000 Shares                 X               2       5700      0   22300
SUNOCO INC COM       COMMON          86764P109       15       500 Shares                 X               1        500      0       0
SUNPOWER CORP CL
A                    COMMON          867652109        6       329 Shares                 X               1        329      0       0
SUNRISE SENIOR
LIVING INC           COMMON          86768K106        1       200 Shares                 X               1        200      0       0
SUNRISE SENIOR
LIVING INC           COMMON          86768K106      993    194025 Shares                 X               2      67225      0  126800
SUNTRUST BANKS
INC                  COMMON          867914103      209      7800 Shares                 X               1       7800      0       0
SUNTRUST BANKS
INC                  COMMON          867914103      485     18109 Shares                         X       1      16409      0    1700
SUNTRUST BANKS
INC                  COMMON          867914103      238      8902 Shares                 X               2          0      0    8902


                                    47 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
SUNTRUST BANKS
INC                  COMMON          867914103       43      1603 Shares                 X               3       1603      0       0
SUPERCONDUCTOR
TECHNOLOGIES IN      COMMON          867931305        0        12 Shares                 X               1         12      0       0
SUPERVALU INC        COMMON          868536103       41      2457 Shares                 X               1       2457      0       0
SUSQUEHANNA
BANCSHARES INC       COMMON          869099101      956     97486 Shares                 X               1      95340      0    2146
SUSQUEHANNA
BANCSHARES INC       COMMON          869099101      193     19629 Shares                         X       1      18629   1000       0
SUSQUEHANNA
BANCSHARES INC       COMMON          869099101      217     22111 Shares           X                            22111      0       0
SYMANTEC CORP COM    COMMON          871503108      123      7247 Shares                 X               1       7247      0       0
SYMANTEC CORP COM    COMMON          871503108       57      3375 Shares                         X       1       3375      0       0
SYMETRA
FINANCIAL CORP       COMMON          87151Q106       62      4675 Shares                 X               1       4675      0       0
SYMMETRICOM
INCORPORATED         COMMON          871543104        3       525 Shares                 X               1        525      0       0
SYNOVUS FINL CORP    COMMON          87161C105       55     16650 Shares                 X               1      16650      0       0
SYNOVUS FINL CORP    COMMON          87161C105     1520    462000 Shares                 X               3     462000      0       0
SYNIVERSE
HOLDINGS INC         COMMON          87163F106        3       170 Shares                 X               1        170      0       0
SYSCO CORP           COMMON          871829107     3417    115845 Shares                 X               1     115745      0     100
SYSCO CORP           COMMON          871829107     4947    167685 Shares                         X       1     165585      0    2100
SYSCO CORP           COMMON          871829107      840     28500 Shares                 X               2       9100      0   19400
SYSCO CORP           COMMON          871829107        7       250 Shares                 X               4        250      0       0
TECO ENERGY INC      COMMON          872375100       60      3800 Shares                 X               1       3800      0       0
TECO ENERGY INC      COMMON          872375100      264     16622 Shares                         X       1      16622      0       0
TF FINANCIAL CORP    COMMON          872391107       95      5000 Shares                 X               1       5000      0       0
TJX COMPANIES INC    COMMON          872540109      921     21657 Shares                 X               1      21657      0       0
TJX COMPANIES INC    COMMON          872540109       58      1359 Shares                         X       1       1359      0       0
TJX COMPANIES INC    COMMON          872540109     2461     57870 Shares                 X               3      57870      0       0
TS&W/CLAYMORE
TAX ADV BAL          PREFERRED       87280R108      149     14550 Shares                 X               1          0      0       0
TAIWAN
SEMICONDUCTOR
SPON ADR             COMMON          874039100       24      2268 Shares                 X               1       2268      0       0
TAIWAN
SEMICONDUCTOR
SPON ADR             COMMON          874039100       11      1096 Shares                         X       1         82      0    1014
TALISMAN ENERGY
INC                  COMMON          87425E103      285     16727 Shares                 X               1       5727      0   11000
TALISMAN ENERGY
INC                  COMMON          87425E103        7       392 Shares                         X       1        182      0     210
TANGER FACTORY
OUTLT                COMMON          875465106       29       675 Shares                 X               1          0      0       0
TANGER FACTORY
OUTLT                COMMON          875465106      798     18500 Shares                 X               3      18500      0       0
TARGET CORP COM      COMMON          87612E106     6360    120905 Shares                 X               1     120511      0     394
TARGET CORP COM      COMMON          87612E106      974     18521 Shares                         X       1      17426      0    1095
TARGET CORP COM      COMMON          87612E106      782     14850 Shares                 X               2      13850      0    1000
TARGET CORP COM      COMMON          87612E106      234      4444 Shares                 X               3       3251      0    1193
TECH DATA CORP
COM                  COMMON          878237106       21       500 Shares                         X       1        500      0       0
TECK RESOURCES
LTD- CL B            COMMON          878742204       63      1444 Shares                 X               1       1444      0       0
TECK RESOURCES
LTD- CL B            COMMON          878742204       50      1150 Shares                         X       1       1150      0       0
TELE NORTE LESTE
PART ADR             COMMON          879246106        9       500 Shares                 X               1        500      0       0
TELECOM NEW
ZEALAND SPON ADR     COMMON          879278208        3       446 Shares                 X               1        446      0       0
TELECOM ITALIA
SPA                  COMMON          87927Y102        1        54 Shares                 X               1         54      0       0
TELEDYNE
TECHNOLOGIES INC
COM                  COMMON          879360105       11       275 Shares                 X               1        275      0       0
TELEFONICA S A
SPONSORED ADR        COMMON          879382208       95      1333 Shares                 X               1       1333      0       0
TELEFONICA S A
SPONSORED ADR        COMMON          879382208        3        40 Shares                         X       1         24      0      16
TELEFONOS DE
MEXICO SP ADR L      COMMON          879403780        9       600 Shares                 X               1        600      0       0
TELEFONOS DE
MEXICO SP ADR L      COMMON          879403780       31      2000 Shares                         X       1          0      0    2000
TELMEX
INTERNACIONAL
SAB DE CV            COMMON          879690105       12       600 Shares                 X               1        600      0       0
TELMEX
INTERNACIONAL
SAB DE CV            COMMON          879690105       39      2000 Shares                         X       1          0      0    2000
TELULAR CORP         COMMON          87970T208        2       500 Shares                 X               2          0      0     500
TEMPLE INLAND INC    COMMON          879868107        3       128 Shares                 X               1        128      0       0
TEMPLE INLAND INC    COMMON          879868107        2       100 Shares                         X       1        100      0       0


                                    48 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
TEMPLE INLAND INC    COMMON          879868107        3       151 Shares                 X               2          0      0     151
TEMPLETON DRAGON
FUND INC             PREFERRED       88018T101        3       100 Shares                 X               1          0      0       0
TEMPLETON GLOBAL
INCOME FUND-D        PREFERRED       880198106      377     37500 Shares                 X               1          0      0       0
TEMPUR PEDIC INTL    COMMON          88023U101       29       975 Shares                 X               1        975      0       0
TEMPUR PEDIC INTL    COMMON          88023U101      814     27000 Shares                 X               3      27000      0       0
TENET HEALTHCARE     COMMON          88033G100       39      6850 Shares                 X               1       6850      0       0
TENET HEALTHCARE     COMMON          88033G100     1077    188300 Shares                 X               3     188300      0       0
TERADATA CORP        COMMON          88076W103       19       674 Shares                         X       1        658      0      16
TERADYNE INC         COMMON          880770102        1        78 Shares                 X               1         78      0       0
TEREX CORP           COMMON          880779103       44      1933 Shares                 X               1       1933      0       0
TERRA INDUSTRIES
INC                  COMMON          880915103       30       650 Shares                 X               1        650      0       0
TEVA
PHARMACEUTICAL
SPONS ADR            COMMON          881624209     2990     47400 Shares                 X               1      46754      0     646
TEVA
PHARMACEUTICAL
SPONS ADR            COMMON          881624209     1359     21551 Shares                         X       1      18931      0    2620
TEVA
PHARMACEUTICAL
SPONS ADR            COMMON          881624209     4211     66750 Shares                 X               2          0      0   66750
TEXAS CAPITAL
BANC                 COMMON          88224Q107      171      9021 Shares                 X               1       9021      0       0
TEXAS CAPITAL
BANC                 COMMON          88224Q107     2250    118500 Shares                 X               3     118500      0       0
TEXAS
INSTRUMENTS INC      COMMON          882508104     3124    127651 Shares                 X               1     126401      0    1250
TEXAS
INSTRUMENTS INC      COMMON          882508104     1411     57655 Shares                         X       1      48655      0    9000
TEXAS
INSTRUMENTS INC      COMMON          882508104     1588     64878 Shares                 X               2      61578      0    3300
TEXAS
INSTRUMENTS INC      COMMON          882508104       82      3339 Shares                 X               3       3339      0       0
TEXAS
INSTRUMENTS INC      COMMON          882508104        2       100 Shares                 X               4        100      0       0
TEXTRON INC COM      COMMON          883203101      168      7936 Shares                 X               1       7936      0       0
TEXTRON INC COM      COMMON          883203101        4       166 Shares                 X               2          0      0     166
THERMO FISHER
SCIENTIFIC INC       COMMON          883556102       57      1116 Shares                 X               1       1116      0       0
THERMO FISHER
SCIENTIFIC INC       COMMON          883556102       72      1400 Shares                         X       1        800      0     600
THERMO FISHER
SCIENTIFIC INC       COMMON          883556102     1445     28086 Shares                 X               2       7750      0   20336
THOMSON REUTERS
PLC                  COMMON          884903105       57      1560 Shares                 X               1       1560      0       0
THORATEC LABS
CORP                 COMMON          885175307       32       950 Shares                 X               1        950      0       0
THORATEC LABS
CORP                 COMMON          885175307      870     26000 Shares                 X               3      26000      0       0
3 COM CORP COM       COMMON          885535104        2       300 Shares                         X       1          0      0     300
3M CO                COMMON          88579Y101    12306    147257 Shares                 X               1     146357      0     900
3M CO                COMMON          88579Y101     9652    115499 Shares                         X       1     104394      0   11105
3M CO                COMMON          88579Y101     4154     49710 Shares                 X               2      11750      0   37960
3M CO                COMMON          88579Y101      285      3409 Shares                 X               3       1850      0    1559
3M CO                COMMON          88579Y101       13       150 Shares                 X               4        150      0       0
3M CO                COMMON          88579Y101       33       400 Shares                         X       4        400      0       0
TIDEWATER INC        COMMON          886423102       47      1000 Shares                 X               1       1000      0       0
TIFFANY & CO         COMMON          886547108      273      5755 Shares                 X               1       5755      0       0
TIFFANY & CO         COMMON          886547108       47      1000 Shares                         X       1       1000      0       0
TIFFANY & CO         COMMON          886547108     1572     33100 Shares                 X               3      33100      0       0
TIGERLOGIC CORP      COMMON          8867EQ101      179     55278 Shares                 X               2          0      0   55278
TIM HORTONS INC      COMMON          88706M103      141      4333 Shares                 X               1       4333      0       0
TIME WARNER INC      COMMON          887317303      254      8121 Shares                 X               1       8121      0       0
TIME WARNER INC      COMMON          887317303       92      2940 Shares                         X       1       2840      0     100
TIME WARNER INC      COMMON          887317303       93      2970 Shares                 X               2          0      0    2970
TIME WARNER INC      COMMON          887317303        8       251 Shares                 X               3        251      0       0
TIME WARNER
CABLE INC            COMMON          88732J207       40       749 Shares                 X               1        749      0       0
TIME WARNER
CABLE INC            COMMON          88732J207       20       381 Shares                         X       1        381      0       0
TIME WARNER
CABLE INC            COMMON          88732J207       45       842 Shares                 X               2          0      0     842
TIMKEN CO COM        COMMON          887389104       24       800 Shares                         X       1        800      0       0


                                    49 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
TIVO INC             COMMON          888706108       53      3100 Shares                 X               1       3100      0       0
TIVO INC             COMMON          888706108     1455     85000 Shares                 X               3      85000      0       0
TOLL BROS INC        COMMON          889478103      325     15626 Shares                 X               1      15626      0       0
TOLL BROS INC        COMMON          889478103      162      7800 Shares                         X       1       7300      0     500
TOLL BROS INC        COMMON          889478103      166      7975 Shares                 X               2          0      0    7975
TOMPKINS
FINANCIAL CORP       COMMON          890110109       13       365 Shares                 X               1        365      0       0
TOMPKINS
FINANCIAL CORP       COMMON          890110109      209      5733 Shares                 X               2          0      0    5733
TONGJITANG
CHINESE
MEDICINES-A          COMMON          89025E103        1       200 Shares                         X       1        200      0       0
TOOTSIE ROLL
INDUSTRIES           COMMON          890516107       81      2998 Shares                 X               1       2998      0       0
TOOTSIE ROLL
INDUSTRIES           COMMON          890516107        8       305 Shares                         X       1        305      0       0
TOREADOR
RESOURCES
5.000% 10            OTHER           891050AB2       48     50000 Shares                 X               2          0      0       0
TORO CO COM          COMMON          891092108       79      1600 Shares                 X               1       1600      0       0
TORONTO-DOMINION
BANK                 COMMON          891160509       22       293 Shares                 X               1        293      0       0
TORONTO-DOMINION
BANK                 COMMON          891160509       58       782 Shares                         X       1        700      0      82
TORTOISE ENERGY
INFRASTRUCTURE       PREFERRED       89147L100       16       500 Shares                 X               1          0      0       0
TORTOISE ENERGY
INFRASTRUCTURE       PREFERRED       89147L100       16       500 Shares                         X       1          0      0       0
TORTOISE ENERGY
CAPITAL CORP         COMMON          89147U100       25      1000 Shares                         X       1       1000      0       0
TOTAL SA
SPONSORED ADR        COMMON          89151E109      188      3235 Shares                 X               1       3235      0       0
TOTAL SA
SPONSORED ADR        COMMON          89151E109        4        72 Shares                         X       1         28      0      44
TOWER BANCORP INC    COMMON          891709107       37      1400 Shares                 X               1       1400      0       0
TOTAL SYSTEMS
SERVICES INC         COMMON          891906109      153      9800 Shares                 X               1       9800      0       0
TOYOTA MOTOR
CORP SPON ADR        COMMON          892331307       43       534 Shares                 X               1        534      0       0
TOYOTA MOTOR
CORP SPON ADR        COMMON          892331307       17       212 Shares                         X       1        212      0       0
TRADESTATION
GROUP INC            COMMON          89267P105        6       900 Shares                 X               1        900      0       0
TRANSACT
TECHNOLOGIES INC
COM                  COMMON          892918103        7      1000 Shares                 X               1       1000      0       0
TRANSMONTAIGNE
PARTNERS LP          COMMON          89376V100       16       570 Shares                 X               1        570      0       0
THE TRAVELERS
COMPANIES INC        COMMON          89417E109      399      7397 Shares                 X               1       7397      0       0
THE TRAVELERS
COMPANIES INC        COMMON          89417E109      503      9316 Shares                         X       1       9316      0       0
THE TRAVELERS
COMPANIES INC        COMMON          89417E109      310      5744 Shares                 X               2          0      0    5744
THE TRAVELERS
COMPANIES INC        COMMON          89417E109        9       160 Shares                 X               4        160      0       0
TREDEGAR CORP        COMMON          894650100       40      2341 Shares                 X               1       2341      0       0
TRI-CONTINENTAL
CORP                 PREFERRED       895436103        6       487 Shares                 X               1          0      0       0
TRIUMPH GROUP INC    COMMON          896818101       51       725 Shares                 X               1        725      0       0
TRIUMPH GROUP INC    COMMON          896818101     1402     20000 Shares                 X               3      20000      0       0
TRUEBLUE INC         COMMON          89785X101       37      2400 Shares                 X               1       2400      0       0
TRUEBLUE INC         COMMON          89785X101     1015     65500 Shares                 X               3      65500      0       0
TUPPERWARE BRANDS    COMMON          899896104       61      1275 Shares                 X               1       1275      0       0
TUPPERWARE BRANDS    COMMON          899896104       22       450 Shares                         X       1        450      0       0
TUPPERWARE BRANDS    COMMON          899896104     1013     21000 Shares                 X               3      21000      0       0
TYLER
TECHNOLOGIES INC     COMMON          902252105     3773    201300 Shares                 X               2      60600      0  140700
TYSON FOODS INC
COM                  COMMON          902494103       24      1275 Shares                 X               1       1275      0       0
UAL CORP             COMMON          902549807       75      3850 Shares                 X               1       3850      0       0
UAL CORP             COMMON          902549807     2053    105000 Shares                 X               3     105000      0       0
UDR INC REIT         COMMON          902653104      453     25655 Shares                 X               1          0      0       0
UDR INC REIT         COMMON          902653104      142      8070 Shares                         X       1          0      0       0
UGI CORP             COMMON          902681105      175      6596 Shares                 X               1       6596      0       0
UGI CORP             COMMON          902681105      133      5000 Shares                         X       1       5000      0       0
UIL HOLDINGS
CORPORATION          COMMON          902748102       26       940 Shares                 X               1        940      0       0
U S BANCORP DEL
COM NEW              COMMON          902973304     1734     66988 Shares                 X               1      66988      0       0
U S BANCORP DEL
COM NEW              COMMON          902973304      359     13881 Shares                         X       1      13581      0     300


                                    50 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
U S BANCORP DEL
COM NEW              COMMON          902973304      251      9700 Shares                 X               2          0      0    9700
U S BANCORP DEL
COM NEW              COMMON          902973304       75      2900 Shares                 X               3       2900      0       0
U S BANCORP DEL
COM NEW              COMMON          902973304        7       253 Shares                 X               4        253      0       0
URS CORP NEW         COMMON          903236107        3        70 Shares                 X               1         70      0       0
ULTA SALON
COSMETCS             COMMON          90384S303       29      1300 Shares                 X               1       1300      0       0
ULTA SALON
COSMETCS             COMMON          90384S303      792     35000 Shares                 X               3      35000      0       0
UNDER ARMOUR
INC-CLASS A          COMMON          904311107       26       900 Shares                 X               1        900      0       0
UNDER ARMOUR
INC-CLASS A          COMMON          904311107       59      2000 Shares                 X               2          0      0    2000
UNIFIRST CORP        COMMON          904708104        4        74 Shares                 X               1         74      0       0
UNILEVER PLC
SPONSORED ADR        COMMON          904767704       38      1307 Shares                 X               1       1307      0       0
UNILEVER PLC
SPONSORED ADR        COMMON          904767704      138      4698 Shares                         X       1       1640      0    3058
UNILEVER NV NY
SHARES               COMMON          904784709      343     11371 Shares                 X               1      11371      0       0
UNILEVER NV NY
SHARES               COMMON          904784709      120      3990 Shares                         X       1       3990      0       0
UNION PACIFIC
CORP COM             COMMON          907818108     2647     36117 Shares                 X               1      36095      0      22
UNION PACIFIC
CORP COM             COMMON          907818108      906     12362 Shares                         X       1      12362      0       0
UNION PACIFIC
CORP COM             COMMON          907818108     1335     18214 Shares                 X               2          0      0   18214
UNISOURCE ENERGY
CORP                 COMMON          909205106        2        53 Shares                 X               1         53      0       0
UNITED
BANKSHARES INC       COMMON          909907107     4799    183026 Shares                 X               2      10500      0  172526
UNITED PARCEL
SERVICE CL B         COMMON          911312106     3240     50305 Shares                 X               1      49280      0    1025
UNITED PARCEL
SERVICE CL B         COMMON          911312106      553      8585 Shares                         X       1       7780      0     805
UNITED PARCEL
SERVICE CL B         COMMON          911312106     8451    131205 Shares                 X               2          0      0  131205
UNITED PARCEL
SERVICE CL B         COMMON          911312106      244      3792 Shares                 X               3       3053      0     739
UNITED PARCEL
SERVICE CL B         COMMON          911312106       10       150 Shares                 X               4        150      0       0
UNITED STATES
NATURAL GAS FD L     PREFERRED       912318102       79     11500 Shares                 X               1          0      0       0
UNITED STATES
OIL FD LP            PREFERRED       91232N108       20       500 Shares                 X               1          0      0       0
UNITED STATES STL    COMMON          912909108     1827     28768 Shares                 X               1      28168      0     600
UNITED STATES STL    COMMON          912909108      180      2840 Shares                         X       1        660      0    2180
UNITED STATES STL    COMMON          912909108     2707     42616 Shares                 X               3      42616      0       0
UNITED
TECHNOLOGIES
CORP COM             COMMON          913017109     8015    108884 Shares                 X               1     105684      0    3200
UNITED
TECHNOLOGIES
CORP COM             COMMON          913017109     3560     48365 Shares                         X       1      46495      0    1870
UNITED
TECHNOLOGIES
CORP COM             COMMON          913017109     3540     48090 Shares                 X               2       3700      0   44390
UNITED
TECHNOLOGIES
CORP COM             COMMON          913017109       30       403 Shares                 X               3        403      0       0
UNITED
THERAPEUTICS         COMMON          91307C102       29       525 Shares                 X               1        525      0       0
UNITED
THERAPEUTICS         COMMON          91307C102      802     14500 Shares                 X               3      14500      0       0
UNITEDHEALTH
GROUP INC            COMMON          91324P102     2601     79618 Shares                 X               1      79618      0       0
UNITEDHEALTH
GROUP INC            COMMON          91324P102      214      6557 Shares                         X       1       5157      0    1400
UNITEDHEALTH
GROUP INC            COMMON          91324P102     2216     67815 Shares                 X               2          0      0   67815
UNITEDHEALTH
GROUP INC            COMMON          91324P102     2075     63507 Shares                 X               3      60022      0    3485
UNITRIN INC COM      COMMON          913275103       53      1883 Shares                 X               1       1883      0       0
UNIVERSAL
DISPLAY CORP         COMMON          91347P105       15      1300 Shares                 X               1       1300      0       0
UNIVEST CORP OF
PA                   COMMON          915271100       46      2454 Shares                 X               1       2454      0       0
UNUM GROUP           COMMON          91529Y106       15       600 Shares                 X               1        600      0       0
UNUM GROUP           COMMON          91529Y106      149      6000 Shares                 X               2          0      0    6000
URBAN OUTFITTERS     COMMON          917047102      397     10437 Shares                 X               1      10437      0       0
URBAN OUTFITTERS     COMMON          917047102     3416     89825 Shares                 X               3      89825      0       0
URSTADT BIDDLE
PPTYS INC CL A       COMMON          917286205       47      3000 Shares                         X       1          0      0       0
V F CORP             COMMON          918204108      129      1610 Shares                 X               1       1610      0       0
V F CORP             COMMON          918204108       13       160 Shares                         X       1        160      0       0
V F CORP             COMMON          918204108      240      3000 Shares                 X               2          0      0    3000
VIST FINANCIAL
CORP                 COMMON          918255100       40      4500 Shares                 X               1       4500      0       0


                                    51 of 56






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                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
VIST FINANCIAL
CORP                 COMMON          918255100        9      1000 Shares                         X       1       1000      0       0
VALE SA              COMMON          91912E105     1150     35738 Shares                 X               1      35738      0       0
VALE SA              COMMON          91912E105        2        50 Shares                         X       1         50      0       0
VALE SA - SP
PREF ADR             COMMON          91912E204       56      2000 Shares                 X               1       2000      0       0
VALERO ENERGY
CORP COM             COMMON          91913Y100       81      4100 Shares                 X               1       4100      0       0
VALERO ENERGY
CORP COM             COMMON          91913Y100       20      1000 Shares                         X       1       1000      0       0
VALUECLICK INC       COMMON          92046N102       20      2000 Shares                         X       1       2000      0       0
VAN KAMPEN MUNI
TRUST                PREFERRED       920919107       14      1000 Shares                         X       1          0      0       0
VAN KAMPEN TRUST
INSURED MUNIC        PREFERRED       920928108        7       505 Shares                         X       1          0      0       0
VAN KAMPEN TR
FOR INV GR MUNIC     PREFERRED       920929106       83      5851 Shares                         X       1          0      0       0
VAN KAMPEN
MUNICIPAL
OPPORTUNI            PREFERRED       920935103      104      7385 Shares                         X       1          0      0       0
VAN KAMPEN BOND
FUND                 PREFERRED       920955101       54      2731 Shares                 X               1          0      0       0
VAN KAMPEN
SENIOR INCOME
TRUST                PREFERRED       920961109       10      2000 Shares                         X       1          0      0       0
VAN KAMPEN PENN
VALUE MUNI INC       PREFERRED       92112T108      148     10794 Shares                 X               1          0      0       0
VAN KAMPEN PENN
VALUE MUNI INC       PREFERRED       92112T108      612     44556 Shares                         X       1          0      0       0
VANGUARD DVD
APPRECIATION INDE    PREFERRED       921908844       78      1600 Shares                 X               1          0      0       0
VANGUARD TOTAL
BOND MKT ETF         PREFERRED       921937835      367      4639 Shares                 X               1          0      0       0
VANGUARD TOTAL
BOND MKT ETF         PREFERRED       921937835      193      2431 Shares                         X       1          0      0       0
VANGUARD HIGH
DIVIDEND YIELD E     PREFERRED       921946406     5083    128434 Shares                 X               1          0      0       0
VANGUARD HIGH
DIVIDEND YIELD E     PREFERRED       921946406       13       318 Shares                         X       1          0      0       0
VANGUARD HIGH
DIVIDEND YIELD E     PREFERRED       921946406     4889    123524 Shares                 X               3          0      0       0
VANGUARD
EMERGING MKTS ETF    PREFERRED       922042858       55      1312 Shares                         X       1          0      0       0
VANGUARD
EMERGING MKTS ETF    PREFERRED       922042858      301      7140 Shares                 X               3          0      0       0
VARIAN MEDICAL
SYS INC COM          COMMON          92220P105        6       100 Shares                         X       1        100      0       0
VEECO INSTRS INC     COMMON          922417100     1075     24728 Shares                 X               1      24728      0       0
VEECO INSTRS INC     COMMON          922417100       20       450 Shares                         X       1          0      0     450
VEECO INSTRS INC     COMMON          922417100     3381     77713 Shares                 X               3      77713      0       0
VANGUARD
SMALL-CAP ETF        PREFERRED       922908751        1        10 Shares                 X               1          0      0       0
VANGUARD TOTAL
STOCK MARKET ET      PREFERRED       922908769        3        42 Shares                 X               1          0      0       0
VERIZON
COMMUNICATIONS
COM                  COMMON          92343V104    14780    476463 Shares                 X               1     467763      0    8700
VERIZON
COMMUNICATIONS
COM                  COMMON          92343V104     7164    230963 Shares                         X       1     221898      0    9065
VERIZON
COMMUNICATIONS
COM                  COMMON          92343V104    10164    327644 Shares                 X               2      64700      0  262944
VERIZON
COMMUNICATIONS
COM                  COMMON          92343V104      385     12426 Shares                 X               3       8988      0    3438
VERISK ANALYTICS
- CL A               COMMON          92345Y106        3       101 Shares                 X               1        101      0       0
VIACOM INC-CLASS
B                    COMMON          92553P201      190      5524 Shares                 X               1       5524      0       0
VIACOM INC-CLASS
B                    COMMON          92553P201      187      5433 Shares                         X       1       3033      0    2400
VISA INC             COMMON          92826C839       11       116 Shares                 X               1        116      0       0
VISA INC             COMMON          92826C839     2821     30990 Shares                 X               2       2360      0   28630
VIRTUS
INVESTMENT
PARTNERS INC         COMMON          92828Q109        1        70 Shares                 X               1         70      0       0
VIRTUS
INVESTMENT
PARTNERS INC         COMMON          92828Q109        0         8 Shares                         X       1          8      0       0
VIRTUS
INVESTMENT
PARTNERS INC         COMMON          92828Q109        2        89 Shares                 X               2          0      0      89
VMWARE INC           COMMON          928563402       21       385 Shares                 X               1        385      0       0
VODAFONE GROUP
PLC - SP ADR         COMMON          92857W209      697     29885 Shares                 X               1      29885      0       0
VODAFONE GROUP
PLC - SP ADR         COMMON          92857W209      237     10159 Shares                         X       1       9882      0     277
VODAFONE GROUP
PLC - SP ADR         COMMON          92857W209       86      3700 Shares                 X               2          0      0    3700
VODAFONE GROUP
PLC - SP ADR         COMMON          92857W209       28      1200 Shares                         X       4       1200      0       0
VOLCANO
CORPORATION          COMMON          928645100       30      1250 Shares                 X               1       1250      0       0
VOLCANO
CORPORATION          COMMON          928645100        5       200 Shares                         X       1        200      0       0
VOLCANO
CORPORATION          COMMON          928645100      834     34500 Shares                 X               3      34500      0       0
VORNADO REALTY
TRUST (REIT)         COMMON          929042109      242      3194 Shares                 X               2          0      0       0


                                    52 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
VULCAN MATERIAL
COM                  COMMON          929160109      288      6093 Shares                 X               1       6093      0       0
VULCAN MATERIAL
COM                  COMMON          929160109       42       879 Shares                         X       1        879      0       0
WD 40 CO COM         COMMON          929236107       13       400 Shares                 X               1        400      0       0
WD 40 CO COM         COMMON          929236107        7       200 Shares                         X       1        200      0       0
WGL HLDGS INC COM    COMMON          92924F106       24       700 Shares                 X               1        700      0       0
WGL HLDGS INC COM    COMMON          92924F106       62      1796 Shares                 X               2          0      0    1796
WGL HLDGS INC COM    COMMON          92924F106       63      1828 Shares                 X               3       1828      0       0
W P CAREY & CO
LLC                  COMMON          92930Y107        6       200 Shares                 X               1          0      0       0
W P CAREY & CO
LLC                  COMMON          92930Y107      147      5019 Shares                         X       1          0      0       0
WABTEC               COMMON          929740108       24       575 Shares                 X               3        575      0       0
WAL MART STORES
INC COM              COMMON          931142103    12299    221199 Shares                 X               1     220049      0    1150
WAL MART STORES
INC COM              COMMON          931142103     4005     72032 Shares                         X       1      65092      0    6940
WAL MART STORES
INC COM              COMMON          931142103      746     13416 Shares                 X               2          0      0   13416
WAL MART STORES
INC COM              COMMON          931142103     3633     65328 Shares                 X               3      62067      0    3261
WAL MART STORES
INC COM              COMMON          931142103       11       200 Shares                 X               4        200      0       0
WALGREEN CO          COMMON          931422109      875     23595 Shares                 X               1      23545      0      50
WALGREEN CO          COMMON          931422109      428     11538 Shares                         X       1      11468      0      70
WALGREEN CO          COMMON          931422109      707     19064 Shares                 X               3      19064      0       0
WARNACO GROUP INC    CL A NEW        934390402       18       375 Shares                 X               1        375      0       0
WARNACO GROUP INC    CL A NEW        934390402      501     10500 Shares                 X               3      10500      0       0
WASHINGTON FED
INC                  COMMON          938824109       27      1350 Shares                 X               1       1350      0       0
WASHINGTON FED
INC                  COMMON          938824109      752     37000 Shares                 X               3      37000      0       0
WASHINGTON POST
CO CL B              COMMON          939640108      222       500 Shares                         X       1        500      0       0
WASHINGTON POST
CO CL B              COMMON          939640108      244       550 Shares                 X               2          0      0     550
WASHINGTON REAL
ESTATE INVT (R       COMMON          939653101       92      3000 Shares                 X               1          0      0       0
WASHINGTON REAL
ESTATE INVT (R       COMMON          939653101       18       600 Shares                         X       1          0      0       0
WASHINGTON REAL
ESTATE INVT (R       COMMON          939653101      379     12398 Shares                 X               2          0      0       0
WASTE
CONNECTIONS I        COMMON          941053100      236      6944 Shares                 X               1       6944      0       0
WASTE
CONNECTIONS I        COMMON          941053100     2014     59297 Shares                 X               3      59297      0       0
WASTE MANAGEMENT
INC                  COMMON          94106L109      111      3237 Shares                 X               1       3237      0       0
WASTE MANAGEMENT
INC                  COMMON          94106L109      199      5787 Shares                         X       1       2487      0    3300
WATERS CORP COM      COMMON          941848103      182      2700 Shares                 X               1       2700      0       0
WATSON
PHARMACEUTICALS
INC COM              COMMON          942683103       64      1526 Shares                         X       1        763    763       0
WEBSTER
FINANCIAL GROUP      COMMON          947890109      199     11336 Shares           X                            11336      0       0
WEINGARTEN
REALTY INVESTORS
(R                   COMMON          948741103      777     36042 Shares                 X               2      12348      0       0
WEIS MARKETS INC     COMMON          948849104       96      2630 Shares                 X               1       2380      0     250
WEIS MARKETS INC     COMMON          948849104       18       500 Shares                         X       1        500      0       0
WELLPOINT INC        COMMON          94973V107       52       800 Shares                 X               1        800      0       0
WELLS FARGO & CO     COMMON          949746101    13085    420457 Shares                 X               1     411729      0    8728
WELLS FARGO & CO     COMMON          949746101     4033    129607 Shares                         X       1     121681      0    7926
WELLS FARGO & CO     COMMON          949746101     7512    241379 Shares                 X               2      68952      0  172427
WELLS FARGO & CO     COMMON          949746101      398     12785 Shares                 X               3       7451      0    5334
WELLS FARGO & CO     COMMON          949746101        7       219 Shares                 X               4        219      0       0
WELLS FARGO & CO     COMMON          949746101       62      2000 Shares                         X       4       2000      0       0
WELLS FARGO PFD
CONV 7.50% SER       PREFERRED       949746804       49        50 Shares                         X       1          0      0       0
WELLS FARGO PFD
CONV 7.50% SER       PREFERRED       949746804      439       450 Shares                 X               2          0      0       0
WENDYS/ARBYS
GROUP INC - CL A     COMMON          950587105       68     13600 Shares                 X               1      13600      0       0
WERNER
ENTERPRISES INC      COMMON          950755108       10       427 Shares                 X               1        427      0       0
WESTAR ENERGY INC    COMMON          95709T100        3       150 Shares                         X       1        150      0       0
WESTERN ASSET
GLOBAL HIGH INC      PREFERRED       95766B109       19      1600 Shares                 X               1          0      0       0


                                    53 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
WESTERN ASSET
MANAGED MUNICIPA     PREFERRED       95766M105       65      5000 Shares                 X               2          0      0       0
WESTERN ASSET
MUNICIPAL HIGH I     PREFERRED       95766N103        8      1050 Shares                         X       1          0      0       0
WESTERN DIGITAL
CORP                 COMMON          958102105      821     21054 Shares                 X               1      21054      0       0
WESTERN DIGITAL
CORP                 COMMON          958102105        2        60 Shares                         X       1         60      0       0
WESTERN DIGITAL
CORP                 COMMON          958102105     3590     92069 Shares                 X               3      92069      0       0
WESTERN UNION
COMPANY              COMMON          959802109      185     10887 Shares                 X               1      10887      0       0
WESTERN UNION
COMPANY              COMMON          959802109      183     10777 Shares                         X       1      10452      0     325
WESTERN UNION
COMPANY              COMMON          959802109        3       200 Shares                 X               4        200      0       0
WEYERHAEUSER CO
COM                  COMMON          962166104      129      2848 Shares                 X               1       2848      0       0
WEYERHAEUSER CO
COM                  COMMON          962166104      140      3092 Shares                         X       1       2294      0     798
WEYERHAEUSER CO
COM                  COMMON          962166104      240      5305 Shares                 X               2          0      0    5305
WHIRLPOOL CORP
COM                  COMMON          963320106       13       150 Shares                 X               1        150      0       0
WHIRLPOOL CORP
COM                  COMMON          963320106       28       324 Shares                         X       1        324      0       0
WHITING
PETROLEUM
CORPORATION          COMMON          966387102        2        27 Shares                 X               1         27      0       0
WHOLE FOODS MKT
INC COM              COMMON          966837106      117      3245 Shares                 X               2          0      0    3245
JOHN WILEY &
SONS INC             COMMON          968223206        3        62 Shares                 X               1         62      0       0
WILLIAMS COMPANY
INC (THE)            COMMON          969457100       28      1200 Shares                         X       1          0      0    1200
WINDSTREAM CORP      COMMON          97381W104      110     10091 Shares                 X               1      10091      0       0
WINDSTREAM CORP      COMMON          97381W104      449     41233 Shares                         X       1      41141      0      92
WISCONSIN ENERGY
CORP COM             COMMON          976657106      166      3352 Shares                 X               1       3352      0       0
WISCONSIN ENERGY
CORP COM             COMMON          976657106       94      1900 Shares                         X       1       1900      0       0
WISDOMTREE INTL
REAL ES FD           PREFERRED       97717W331       60      2255 Shares                 X               1          0      0       0
WOODWARD GOVNR CO    COMMON          980745103       58      1800 Shares                 X               1       1800      0       0
WOODWARD GOVNR CO    COMMON          980745103     1630     50975 Shares                 X               3      50975      0       0
WORLD FUEL
SERVICES
CORPORATIO           COMMON          981475106      117      4400 Shares                 X               1       4400      0       0
WORTHINGTON INDS
INC COM              COMMON          981811102        9       500 Shares                 X               1        500      0       0
WORTHINGTON INDS
INC COM              COMMON          981811102      225     13000 Shares                         X       1          0      0   13000
WRIGHT EXPRESS
CORP                 COMMON          98233Q105       48      1600 Shares                 X               1       1600      0       0
WRIGHT EXPRESS
CORP                 COMMON          98233Q105     1325     44000 Shares                 X               3      44000      0       0
WYNDHAM
WORLDWIDE CORP       COMMON          98310W108        5       200 Shares                 X               1        200      0       0
WYNDHAM
WORLDWIDE CORP       COMMON          98310W108       23       887 Shares                         X       1        887      0       0
WYNN RESORTS
LIMITED              COMMON          983134107        8       100 Shares                 X               1        100      0       0
XTO ENERGY INC
COM                  COMMON          98385X106      503     10666 Shares                 X               1      10666      0       0
XTO ENERGY INC
COM                  COMMON          98385X106      223      4724 Shares                         X       1       4724      0       0
XTO ENERGY INC
COM                  COMMON          98385X106     1073     22750 Shares                 X               2          0      0   22750
XCEL ENERGY INC
COM                  COMMON          98389B100       50      2365 Shares                 X               1       2365      0       0
XCEL ENERGY INC
COM                  COMMON          98389B100      114      5389 Shares                         X       1       5389      0       0
XILINX COM           COMMON          983919101       21       826 Shares                 X               1        826      0       0
XEROX CORP           COMMON          984121103       40      4123 Shares                 X               1       4123      0       0
XEROX CORP           COMMON          984121103       49      5000 Shares                         X       1       5000      0       0
XFONE INC            COMMON          98414Y109        0       275 Shares                 X               1        275      0       0
YAHOO INC COM        COMMON          984332106      797     48229 Shares                 X               1      48229      0       0
YAHOO INC COM        COMMON          984332106       17      1000 Shares                         X       1       1000      0       0
YAHOO INC COM        COMMON          984332106       99      6000 Shares                 X               2          0      0    6000
YAHOO INC COM        COMMON          984332106     1686    102017 Shares                 X               3     102017      0       0
YAMANA GOLD INC      COMMON          98462Y100        1       100 Shares                         X       1        100      0       0
YORK WATER
COMPANY              COMMON          987184108     1032     75069 Shares                 X               1      75069      0       0
YORK WATER
COMPANY              COMMON          987184108     1095     79601 Shares                         X       1      79601      0       0
YUM! BRANDS INC      COMMON          988498101      544     14189 Shares                 X               1      14189      0       0
YUM! BRANDS INC      COMMON          988498101      398     10375 Shares                         X       1       8175      0    2200


                                    54 of 56






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
YUM! BRANDS INC      COMMON          988498101     3704     96630 Shares                 X               2      10900      0   85730
ZEP INC              COMMON          98944B108      470     21500 Shares                 X               2          0      0   21500
ZIMMER HLDGS INC
COM                  COMMON          98956P102     3078     51988 Shares                 X               1      51088      0     900
ZIMMER HLDGS INC
COM                  COMMON          98956P102      808     13644 Shares                         X       1      12444      0    1200
ZIMMER HLDGS INC
COM                  COMMON          98956P102     2871     48488 Shares                 X               2      13287      0   35201
ZIMMER HLDGS INC
COM                  COMMON          98956P102       18       309 Shares                 X               3        309      0       0
ZIONS
BANCORPORATION       COMMON          989701107      138      6325 Shares                 X               1       6325      0       0
ZIONS
BANCORPORATION       COMMON          989701107       35      1600 Shares                         X       1       1600      0       0
ZIONS
BANCORPORATION       COMMON          989701107     1146     52500 Shares                 X               3      52500      0       0
DAIMLER AG           COMMON          D1668R123       18       373 Shares                 X               1        373      0       0
DAIMLER AG           COMMON          D1668R123        6       124 Shares                         X       1        124      0       0
DAIMLER AG           COMMON          D1668R123        6       124 Shares                 X               2          0      0     124
AMDOCS LIMITED       COMMON          G02602103       62      2050 Shares                 X               1       2050      0       0
ARCH CAPITAL
GROUP LTD            COMMON          G0450A105      217      2845 Shares                 X               1       2845      0       0
ASPEN INSURANCE
HOLDINGS LTD         COMMON          G05384105        7       229 Shares                 X               1        229      0       0
ACCENTURE PLC-
CL A                 COMMON          G1151C101      541     12885 Shares                 X               1      12785      0     100
ACCENTURE PLC-
CL A                 COMMON          G1151C101      523     12460 Shares                         X       1      12325      0     135
COOPER
INDUSTRIES PLC
CL A                 COMMON          G24140108      163      3400 Shares                 X               1       3400      0       0
COOPER
INDUSTRIES PLC
CL A                 COMMON          G24140108       72      1500 Shares                         X       1       1500      0       0
COVIDIEN PLC         COMMON          G2554F105      137      2731 Shares                 X               1       2656      0      75
COVIDIEN PLC         COMMON          G2554F105      176      3494 Shares                         X       1       2691      0     803
COVIDIEN PLC         COMMON          G2554F105      314      6250 Shares                 X               2          0      0    6250
HERBALIFE LTD        COMMON          G4412G101      172      3727 Shares                 X               1       3727      0       0
HERBALIFE LTD        COMMON          G4412G101     1545     33500 Shares                 X               3      33500      0       0
INGERSOLL-RAND
PUBLIC LTD CO        COMMON          G47791101       21       588 Shares                 X               1        588      0       0
INGERSOLL-RAND
PUBLIC LTD CO        COMMON          G47791101      166      4770 Shares                         X       1       4770      0       0
INGERSOLL-RAND
PUBLIC LTD CO        COMMON          G47791101     3589    102920 Shares                 X               2          0      0  102920
INVESCO LIMITED      COMMON          G491BT108        1        53 Shares                 X               1         53      0       0
LJ INTERNATIONAL
INC                  COMMON          G55312105        1       400 Shares                 X               1        400      0       0
MARVEL
TECHNOLOGY GROUP
LTD                  COMMON          G5876H105      731     35809 Shares                 X               1      35809      0       0
MARVEL
TECHNOLOGY GROUP
LTD                  COMMON          G5876H105        2        94 Shares                         X       1         94      0       0
MARVEL
TECHNOLOGY GROUP
LTD                  COMMON          G5876H105     1490     73080 Shares                 X               3      73080      0       0
NABORS
INDUSTRIES LTD       COMMON          G6359F103      332     16900 Shares                 X               1      16900      0       0
NABORS
INDUSTRIES LTD       COMMON          G6359F103      239     12175 Shares                         X       1      12175      0       0
NORDIC AMERICAN
TANKER SHIPPIN       COMMON          G65773106        6       200 Shares                 X               1        200      0       0
ONEBEACON
INSURANCE GROUP
LTD                  COMMON          G67742109       41      2355 Shares                 X               1       2355      0       0
PLATINUM
UNDERWRITERS
HOLDINGS             COMMON          G7127P100        7       181 Shares                 X               1        181      0       0
SEAGATE
TECHNOLOGY           COMMON          G7945J104        5       275 Shares                 X               1        275      0       0
SHIP FINANCE
INTL LTD             COMMON          G81075106        5       300 Shares                 X               1        300      0       0
SIGNET JEWELERS
LTD                  COMMON          G81276100        0        10 Shares                         X       1         10      0       0
SMART MODULAR
TECH                 COMMON          G82245104       37      4750 Shares                 X               1       4750      0       0
SMART MODULAR
TECH                 COMMON          G82245104     1003    130100 Shares                 X               3     130100      0       0
WHITE MOUNTAINS
INSURANCE GROU       COMMON          G9618E107      444      1252 Shares                 X               1       1252      0       0
WHITE MOUNTAINS
INSURANCE GROU       COMMON          G9618E107      121       340 Shares                         X       1        340      0       0
WHITE MOUNTAINS
INSURANCE GROU       COMMON          G9618E107      641      1805 Shares                 X               2          0      0    1805
XL CAPITAL LTD
CL A                 COMMON          G98255105        1        62 Shares                 X               1         62      0       0
ACE LTD              COMMON          H0023R105     1909     36508 Shares                 X               1      36508      0       0
ACE LTD              COMMON          H0023R105      198      3780 Shares                         X       1       3680      0     100
ACE LTD              COMMON          H0023R105      236      4521 Shares                 X               3       3250      0    1271
ALCON INC            COMMON          H01301102       93       578 Shares                 X               1        578      0       0


                                    55 of 56






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                                                                                       COLUMN 6                      COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY           VOTING AUTHORITY
                                               COLUMN 4 ------------------------ --------------------         ----------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED COLUMN 7
                         TITLE OF    COLUMN 3    (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
  NAME OF ISSUER          CLASS       CUSIP    $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE   SHARED  OTHER
-------------------- --------------- --------- -------- --------- --------- ---- ---- ------- ------ -------- ------- ------ -------
                                                                                      
ALCON INC            COMMON          H01301102       34       208 Shares                         X       1        208      0       0
WEATHERFORD INTL
LTD SWITZERLA        COMMON          H27013103     1784    112506 Shares                 X               1     111656      0     850
WEATHERFORD INTL
LTD SWITZERLA        COMMON          H27013103      114      7204 Shares                         X       1       7204      0       0
WEATHERFORD INTL
LTD SWITZERLA        COMMON          H27013103     2073    130700 Shares                 X               3     130700      0       0
FOSTER WHEELER AG    COMMON          H27178104     1746     64327 Shares                 X               1      64327      0       0
FOSTER WHEELER AG    COMMON          H27178104      106      3911 Shares                         X       1       3486      0     425
FOSTER WHEELER AG    COMMON          H27178104     1651     60847 Shares                 X               3      58822      0    2025
LOGITECH
INTERNATIONAL SA
- RE                 COMMON          H50430232        2       124 Shares                 X               1        124      0       0
LOGITECH
INTERNATIONAL SA
- RE                 COMMON          H50430232        1        38 Shares                         X       1         38      0       0
NOBLE CORPORATION    COMMON          H5833N103      441     10545 Shares                 X               1       9445      0    1100
NOBLE CORPORATION    COMMON          H5833N103       52      1250 Shares                         X       1       1050      0     200
TRANSOCEAN
LIMITED              COMMON          H8817H100     2870     33225 Shares                 X               1      31375      0    1850
TRANSOCEAN
LIMITED              COMMON          H8817H100      796      9213 Shares                         X       1       6519      0    2694
TRANSOCEAN
LIMITED              COMMON          H8817H100      285      3300 Shares                 X               2          0      0    3300
TYCO
INTERNATIONAL LTD    COMMON          H89128104      122      3190 Shares                 X               1       3190      0       0
TYCO
INTERNATIONAL LTD    COMMON          H89128104      144      3769 Shares                         X       1       2966      0     803
TYCO
INTERNATIONAL LTD    COMMON          H89128104      239      6250 Shares                 X               2          0      0    6250
TYCO ELECTRONICS
LTD                  COMMON          H8912P106       56      2038 Shares                 X               1       2038      0       0
TYCO ELECTRONICS
LTD                  COMMON          H8912P106       68      2487 Shares                         X       1       2487      0       0
TYCO ELECTRONICS
LTD                  COMMON          H8912P106      172      6250 Shares                 X               2          0      0    6250
UBS AG               COMMON          H89231338       53      3243 Shares                 X               1       3243      0       0
MILLICOM
INTERNATIONAL
CELLULA              COMMON          L6388F110        4        40 Shares                 X               1         40      0       0
MILLICOM
INTERNATIONAL
CELLULA              COMMON          L6388F110        1        14 Shares                         X       1         14      0       0
CHECK POINT
SOFTWARE TECH COM    COMMON          M22465104      554     15800 Shares                 X               2          0      0   15800
ELBIT SYSTEMS LTD    COMMON          M3760D101        6       100 Shares                 X               1        100      0       0
AERCAP HOLDINGS NV   COMMON          N00985106        6       500 Shares                 X               1        500      0       0
CORE
LABORATORIES N V     COMMON          N22717107        1         7 Shares                 X               1          7      0       0
STEINER LEISURE LTD  ORDINARY        P8744Y102       29       650 Shares                 X               1        650      0       0
STEINER LEISURE
LTD                  ORDINARY        P8744Y102      798     18000 Shares                 X               3      18000      0       0
ROYAL CARIBBEAN
CRUS                 COMMON          V7780T103       49      1500 Shares                 X               1       1500      0       0
ROYAL CARIBBEAN
CRUS                 COMMON          V7780T103     1402     42500 Shares                 X               3      42500      0       0
DRYSHIPS INC         COMMON          Y2109Q101        6      1050 Shares                 X               1       1050      0       0
FLEXTRONICS INTL
LTD                  COMMON          Y2573F102      650     82965 Shares                 X               1      82965      0       0
FLEXTRONICS INTL
LTD                  COMMON          Y2573F102        2       300 Shares                         X       1        300      0       0
FLEXTRONICS INTL
LTD                  COMMON          Y2573F102     1523    194125 Shares                 X               3     194125      0       0
GENERAL MARITIME
CORP                 COMMON          Y2693R101        6       800 Shares                 X               1        800      0       0
GENERAL MARITIME
CORP                 COMMON          Y2693R101      483     67250 Shares                 X               2      24250      0   43000
SEASPAN CORP         COMMON          Y75638109       55      5500 Shares                         X       1       5500      0       0
VERIGY LTD           COMMON          Y93691106        1       110 Shares                         X       1        110      0       0
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